Conferences, English

What is Bavli: A Response (Pt. 3/3)

In this final installment of the “What is Bavli?” forum, Prof. Christine Hayes responds to the four panelists. See here for part 1, and here for part 2. As mentioned, we plan on releasing all three installments as an ebook in the coming weeks.

Christine Hayes – What is Bavli? Response to Panelists

As several of their authors have observed, the four books under discussion today adopt different emphases in their study of the Babylonian Talmud.  Dolgopolski provides useful labels for these two emphases: “conceptualism” – which he describes as focusing on the intellectual quality of the Bavli – and “contextualism” – which he describes as focusing on the genesis of the Talmud. He argues that the separation of these approaches is artificial and thus inauthentic.  Classical Talmudic scholarship of the last 150 years, Dolgopolski tells us, has been contextualist, seeking to understand the genesis of the Talmud; only recently has the field witnessed a greater interest in conceptualism, which seeks to know what the Bavli is. Classical scholarship’s disinterest in conceptualism is myopic, Dolgopolski maintains, because contextualism cannot proceed without conceptions of what constitutes the Bavli’s proper context, and that in turn requires some prior concept of what the Bavli is. If I understand Dolgopolski correctly, since concepts precede contexts, since I must have some concept of a thing before I can locate it and appropriately analyze it, then there is first order conceptual work to be done before contextual analysis can proceed. For 150 years, then, scholars of Talmud have put the cart before the horse.

There is some truth in what Dolgopolski says: it is true that in studying the context — the genesis and formation of the Bavli — we make conceptual assumptions about what the Bavli is.  But this is an inevitable condition of the pursuit of knowledge. I cannot analyze or investigate anything without some prior concept of what it is I am investigating. Without a prior concept of the thing I wish to investigate, I cannot even select my analytical tools. What worries Dolgopolski, then, is not that critical scholarship has no conceptions about the Talmud (because he is right, the two cannot actually be separated) but that critical scholarship has not consciously crafted its conceptions of the Talmud and therefore its conceptions are generally wrong.

But I confess that I am somewhat less worried than Dolgopolski about the state of critical scholarship.  There is a great difference between a tacit – which is to say an unexamined, unconscious, and usually fixed and rigid – conception of the text on the one hand and, on the other, a working hypothesis, which is a conception of the text that is fluid and susceptible to modification and refinement as investigation proceeds.  I think it is the first – the unexamined and rigid conception to which the text must yield – that worries Dolgopolski, and rightly so. It is the danger of the fixed and unconscious preconception that motivates his criticism of the classical contextual study of the Bavli’s genesis and formation, but the second – the fluid and continually adjusted working hypothesis that yields to and is reshaped by the text it theorizes – this is the very condition for the advancement of knowledge. And on the whole, classical critical scholarship has not been devoid of working hypotheses that have been revised as analysis proceeds.

To speak in specific terms for a moment: very early critical scholars who broke with traditional ahistorical conceptions of the Bavli and conceived of it as a chronologically layered text preserving neat and distinct historical strata, developed analytical tools to expose those layers. But those tools uncovered contradictions and irregularities that raised questions about the historicity of attributions, and the role of rhetoric and ideology in the construction of these data which in turn challenged the very concepts that had led to their discovery, necessitating a more sophisticated account or concept of the relationship among the text’s component parts. David Halivni’s account of the relationship among the component parts was grounded explicitly in positivistic conceptions of the modus operandi of the historical persons who produced the text (the amoraim and stammaim), and corresponding conceptions of certain textual features as the result of error and aporia. His conception of the text suggested the adoption of particular analytical tools to understand its genesis and formation, but the data uncovered by these tools offered new challenges to Halivni’s underlying conceptions and Halivni himself has offered refinements of his working hypothesis. Shamma Friedman offered a concept of the Bavli that was less historical and more literary. His account of the relationship among the Bavli’s textual components mandated different, more literary methods of analysis. And in Friedman’s case, too, as analysis has uncovered irregularities and unexpected elements, there has been some refinement of the original working hypothesis or conception.

If we look at the arc of critical scholarship over the past 60 years as a whole, we see that it has tacked back and forth between concept and context (to return to Dolgopolski’s terms), revising, correcting, reframing, and recalibrating each in light of the other. Viewed in this light, the more recent approaches of Vidas and Dolgopolski continue this pattern. Certainly, they push for a conceptual revision that is more radical than those we have seen in the past, but this is a difference in degree not in kind. As Shai Secunda has pointed out, Vidas adopts a critical stance towards scholarly conceptions of the contribution of the stam, focusing on the mechanisms by which the stam manufactures distance rather than harmony between itself and the earlier sources and invented traditions that it orchestrates. This leads Vidas to very different analyses of the Bavli’s component parts and very different understandings of how the Bavli came to be what it is.  Even more radical, Dolgopolski considers any attempt at reading the Bavli for thinking historical subjects – whether named tradents (like individual amoraim) or unnamed discussants said to misunderstand or manipulate received traditions (like stammaim) – to be anachronistic and ill-fitting to the text. He conceives of the Bavli as a kind of collective memory, a thinking about thinking continually performed by a virtual identity. Warning: this book is not for the philosophically faint of heart and I confess that on more than one occasion lo yaradti lesof da’ato.  My point is, however, that even radical reconceptualization represents not so much a break with the previous tradition of critical scholarship as a continuation of the process of tacking back and forth between concept and context, revised concept and revised context, and so on. Thus, armed with new and different concepts of the text, scholars like Vidas and Dolgopolski will identify anew the most appropriate and inappropriate contexts for its study, the most apt tools for its analysis and interrogation.  And no doubt irregularities and inadequacies in their approaches, as in all prior approaches, will arise and lead to new conceptualizations and new contextualizations.

The working hypothesis, then, is alive and well and it is the place where the conceptual and the contextual approaches not only find common ground and make common cause, but also recognize their deep and inevitable interdependence.  The conceptual and the contextual are not best imagined then as first order and second order tasks. For just as our analyses of the text arise in some way from our concepts about it, surely our concepts about the text are not plucked from the air but arise in some way from our encounters with and analyses of the text or things like the text. The conceptual and the contextual evolve in tandem. Knowledge advances only when we are willing and able tirelessly to tack back and forth between concept and context, between hypothesis and data, between synthesis and analysis – in a continual feedback loop.

I offer, therefore, a friendly amendment to Dolgopolski’s suggestion that it is the contextualist who seeks to understand the genesis of the Talmud but it is the conceptualist, and the conceptualist alone, who seeks to know what the Bavli is. I suggest that contextualism and conceptualism as practiced in the field of Talmudic studies are synchronous approaches both of which can be subsumed under and subtend the larger question: What is the Bavli?

The contextualist, no less than the conceptualist, seeks to know what the Bavli is. The two simply approach the question from different angles of vision based on different intuitions about how the question is best answered. But the two are joined at the hip and are interdependent.  It should be the aspiration and I hope the accomplishment of this generation of scholars to recognize this interdependence and to benefit from the synergy it creates.  Let me make my meaning plainer.

The question on the table is “What is the Bavli?” It seems to me that human beings in general have a tendency to approach the question “What is X?” in two different ways.

For some, to ask “what is X?” is precisely to ask how X came to be, based on a strong intuition that the key to comprehending a thing’s character lies in understanding its origin, growth, evolution and formation.

For some, to ask “what is X?” is precisely to ask what X does, based on an equally strong intuition that the key to comprehending a thing’s character lies in understanding its function measured in terms of how it is experienced by or affects those who interact with it.

The four books under discussion today can be divided along this axis: Michal Bar-Asher Siegal and Secunda bring us closer to answering the question What is Bavli? by focusing on how the Bavli came to be while Vidas and Dolgopolski bring us closer to answering the question What is Bavli? by focusing on how the Bavli functions, how it is experienced by and affects its readers.  Now this rough division, like all heuristic devices, is imperfect and at times each pair of scholars plays briefly in the sandbox of the others. As Bar-Asher Siegal has pointed out, to varying degrees and with varying emphases all four books use philological tools, lower critical and higher critical methodologies to understand how Talmudic texts came to be what they are. At the same time, all four books, again to varying degrees and with varying emphases, lift their gaze from the page of the Talmud in an attempt to answer bigger questions about the very nature and purpose of the text.

I want to dwell for a moment on the “bigger question” these books all address in one way or another and that is the question of redaction, the Bavli’s final form. All four books assume intentional redaction and seek to expose the purpose or agenda behind that redaction, and yet despite this important similarity, the scale of their questions about redaction differs in an interesting way. And this might point to a conceptual difference that explains their methodological differences.

Bar-Asher Siegal’s and Secunda’s questions about redactional purpose are local — what is the agenda of the redactor of this particular sugya or perhaps, set of related sugyot?  Vidas’s and especially Dolgopolski’s questions about redactional purpose are global — what is the agenda of the redactor not just of this sugya but the Bavli as a whole, what is the voice of the Bavli?  This would seem to be because Vidas and especially Dolgopolski have a stronger concept of the Bavli as an entity that can be grasped as a whole and if so, we may ask: is that view based on certain convictions about a sustained and global redaction of the Bavli? If so, what is the evidence for such a sustained and global redaction? Of course, it would be legitimate to respond that evidence for redaction (local or global) doesn’t matter — we choose to treat the Bavli as a single large entity simply because it functions as one for its readers, and function is pre-eminent in defining what the Bavli is and how it should be read. To turn the question around, do Bar-Asher Siegal and Secunda focus on local intentions and purposes because they have a weaker concept of the Bavli as an entity and view it as a thing that is best grasped in pieces? If so, is that view based on certain convictions about the incremental and local redaction of the Bavli, and if so what is the evidence for this kind of redaction? Does the choice to treat the Bavli as a congeries of local redactions arise from a conviction that rather than function, the process by which it has come to be as reflected in its redactional messiness is pre-eminent in defining what the Bavli is and how we ought to read it?

It would be interesting to hear the authors of these four books address this methodological difference of local vs. more global claims and consider whether it stems from different basic conceptions of the work of the Bavli’s redactors.

As has been emphasized by several of the papers, these works have different foci – Vidas and Dolgopolski are more focused on the performance on the screen and Bar-Asher Siegal and Secunda are more focused on appreciating the process by which the final performance was created.  Neither is the only possible focus. And as I have said the fact that each pair of scholars plays at times in the sandbox of the other, signals at the outset that these approaches are not mutually exclusive; they are joined at the hip, so that together they bring us closer to an understanding of what the Bavli is. There is therefore no need to speak of abandoning one approach in favor of the other.  On the contrary, even if we as individual scholars inhabit one angle of vision more than the other, we can acknowledge the need for both angles of vision to avoid a crippling myopia. I will end on this point momentarily – but first one additional observation:

It is not only conceptualists and contextualists who must resist the temptation to see themselves as pitted against one another in a zero sum game. Different kinds of contextualists (those who seek to know what Bavli is by better understanding how it came to be) must resist a version of the same temptation.  Vidas points this out in his discussion of Secunda’s contextualization of the Bavli with the Pahlavi sources on the one hand and Bar-Asher Siegal’s contextualization of the Bavli with monastic sources on the other.  Vidas notes that the question should not be whether the Bavli is to be studied in relation to Christian OR Zoroastrian texts because communities are embedded, and indeed the Jews of Babylonia were embedded, in a multiple and complex set of contexts. This insight is gaining increasing currency among an even younger generation of scholars, many of whom seek to understand what the Bavli is by better understanding the rabbis’ simultaneous negotiation with overlapping social and cultural contexts.  For Bar-Asher Siegal and Secunda this is no doubt a congenial idea since neither claims to have identified the sole context in which the Bavli must be read. Other recent and emerging scholarship, points to the multi-cultural diversity of the Sassanian empire. Yishai Kiel, for example, triangulates Talmudic, Zoroastrian and Eastern Christian sources to explore attitudes towards repentance; elsewhere he relies on Manichaean and Zoroastrian materials to explain the Bavli’s refashioning of older Enochic traditions. Dissertations currently underway at Yale explore the Bavli’s differential interactions with surrounding cultures (Zoroastrian, Manichaean, Christian and older Ancient Near Eastern materials) and heed Vidas’s call to revisit the question of the rabbis’ social location both within their own communities (casting doubt on the entire question of elite-mass relations) and within the larger Empire (where they might be better conceptualized as one minority group among others in a shared imperial setting). Pardon the Yale focus – these are simply the dissertations I know best. I have no doubt that equally exciting dissertation are being written elsewhere.

This openness to diverse, complementary, not mutually exclusive comparative contexts as well as the recognition of the interdependence of conceptual and contextual approaches leads me to a final observation that will come as no surprise to those who have studied with me (and here I echo an observation made by Vidas but now applied more broadly). I offer this observation because the hope springs eternal in me that scholars of the generation represented by these books will avoid, or dare I hope cure our field of, what I consider to be an egregious, tiresome and very expensive (in terms of intellectual resources and time) affliction: the idea that someone has to be wrong in order for me to be right.

I have been plying my trade for more than two decades, and I was rather quickly converted to the firm conviction that in the Humanities it is rarely the case that someone must be wrong in order for me to be right and that scholarship is best served when its practitioners do not understand themselves to be engaged in a zero-sum game. For the most part, I think that’s true of the books discussed today.  Of course, there will be and there must be healthy disagreements among scholars. Of course there must be debate. Of course we have to employ the arts of persuasion and the canons of interpretation to present our conceptions of the data and bring others to see and understand what we see and understand. We are nothing if not explainers. That’s really all we do and of course, we will not convince everyone of our explanations and interpretations and we will not be convinced by everyone else’s.  But when argument and persuasion turn into assertions not only that one is unequivocally right and that ipso facto almost everyone else must be wrong, scholarship does not advance. Rather it retreats, as scholars take up entrenched positions and devote enormous intellectual resources into defending these positions simply in order to be perceived as right, constructing impenetrable barricades that ensure they are talking only to themselves and their like-minded disciples.

Scholarship advances and disciplines mature when scholars drop their pretty defenses, stop protecting their turf, and embrace the invitation to be engaged in something bigger and more enduring than their own careers – when they recognize that they are part of a multi-generational intellectual quest the demands of which exceed the abilities of any one of us but perhaps do not exceed the collective abilities of all of us. Such scholars seek out common ground that can become the basis for dynamic synergies and collaborations, instead of gleefully seizing upon  minute differences that lead only to defensiveness and willful deafness. Such scholars applaud rather than fear and delegitimize those who pursue alternative avenues towards the common goal of knowledge – alternative avenues based on a different skill set or training or just a different intellectual temperament. To the extent that this spirit has prevailed among the four scholars featured on this panel, I applaud them.

So What is Bavli? We haven’t arrived at an answer that can be tweeted in 148 characters or fewer, and I hope we never will because I need a reason to keep getting out of bed in the morning, but I do know that we have come some further distance toward appreciating the multiple possible answers prompted by the question, and I am confident that we will continue to do so as long as we encourage approaches to the question from different directions: because after all, it seems entirely intuitive and entirely plausible that in order to know what the Bavli is someone needs to explore how it came to be AND someone needs to explore what the Bavli does – they might be the same or they might be different “someones.” We need context and we need concepts, and we need them to function simultaneously and interdependently in a feedback loop. Scholarship, the pursuit of knowledge, is not and never should be perceived as an inherently zero-sum game. If we think we have to flatten and destroy before we can build, we’ll never get much higher than the ground floor.

Standard
Conferences, English

What is Bavli: Approaching the Bavli’s Contexts (Pt. 2/3)

In this second part of our “What is Bavli” forum (begun here) Sergey Dolgopolski and Moulie Vidas take on Michal Bar-Asher Siegal and Shai Secunda’s monographs as they think about the Bavli and its contexts. 

Detail from a Lithograph of a 19th century Vendidad. Courtesy of Y S-D Vevaina.

Detail of a 19th century lithograph of the Vendidad. Image courtesy of Yuhan S-D Vevaina.

 

Sergey Dolgopolski – “Approaching the Bavli’s Contexts: Mapping Talmud Scholarship Between Conceptualism and Contextualism”

Studies in philosophy and on the Talmud have been artificially – and thus not authentically – separated one from another. As the two books, Michal Bar-Asher Siegal’s Early Christian Monastic Literature and the Babylonian Talmud (Cambridge: Cambridge University Press, 2013) and Shai Secunda’s The Iranian Talmud: Reading the Bavli in its Sasanian Context (Philadelphia, University of Pennsylvania Press, 2014)  collectively help us see, the current state of the field calls for undoing and/or renegotiating that artificial separation of the two fields.  Instead of either conflation or mutual isolation of conceptual and contextual approaches to Bavli, there transpires a possibility and necessity of a well structured correlation between these two approaches.

The Question

Complying with the structure of this forum, my guiding question will concern the relationship between “conceptualism” and “contextualism” (yes, the Oxford English Dictionary says this is a word). This is a separation that the structure of this forum explicitly introduces and, as I hear it, implicitly calls for undoing.

The basic question of conceptualism is “What is Bavli?” The basic question of contextualism is “How did the Bavli come to being?” Which comes first? True to the history of the field, an answer for the first question had been taken for granted based on the conceptions shaped in the nineteenth-century yeshivot, where Talmud was studied and where its meaning had been produced and supplied to those who began asking the “critical” question, namely, the question of the historical genesis of the Talmud. The result was that critical Talmud scholars started by asking the second question, about historical genesis, based on uncritically assuming  an answer to the first question, that of intellectual quality of the Bavli, as if the meaning-production in these institutions had no history of development of its own. However, the two questions are intrinsically complementary to each other. They therefore need to be separated more strictly to avoid an uncritical intermingling of one with another. By the same token, they need to be correlated more articulately than before. As I hope to show, a more careful separation between conceptualism and contextualsim leads to a reconnection between these two approaches to Bavli in a more productive way.

I will make this argument by highlighting the already existing, indeed, crucial crosscurrents in developments in philosophy and literary theory on one hand and those in critical scholarship on the Talmud on the other. My aim is to show how these two fields of inquiry have always been effectively – but perhaps not articulately – connected one with another in terms of concepts they use and develop, despite all the artificially erected partitions between them. As part of this argument I will highlight where in the field of Talmud study crossing the boundaries between the partitions has been already happening more implicitly than explicitly; and how, with two new books on the table an explicit renegotiation of the relationship between the two fields, philosophy/literary theory and the study of the Talmud, becomes an increasingly pressing necessity. Answering to this necessity is also an opportunity. A renegotiation of relationships between Talmud and philosophy is also a heuristically rich opportunity to discern concepts that shape many competing answers on the question of what Bavli is, and thereby define competing approaches to Bavli’s contexts as well.

In the past century, scholars of academic Talmud have focused on questions about the genesis of the Talmud without first working out the question of what the Bavli is. However, in choosing to ignore the more fundamental question they have already unwittingly committed to a certain answer.  For how one answers the question of “what the Bavli is” affects how one approaches questions about the context and genesis of the Bavli.  To make this argument, I will first map out the implicit answers of the question “what is Bavli” that various scholars de facto committed to when answering questions of context and genesis. I will then situate the new books by Secunda and Bar-Asher Siegal on the map.

The Map

This map helps us navigate a variety of theoretical positions in, and orientations for, conceptualizing “what is Bavli.” Each locus on the map will be defined in terms of “person,” “meaning,” and “writing,” and their configurations.  It will proceed from a simple linear model of “person” (author) as preexisting “writing,” and producing “meaning,” which leads to literary-historical contextualization of the Talmud. Then the map will move to models which grant the “rhetorical figures” of “writing” the power to produce “meaning” and to control the “person”; such models lead to literary-formal analysis of the Bavli’s genesis and transformations. The map will conclude with a model that denies the figures of “writing” that power to begin with, leading to a direct negotiation of the relationships between Talmud and philosophy as a way to conceptualize what Bavli is and thus to approach Bavli’s contexts.

In the last century, competing configurations of the concepts of “person,” “writing,” and “meaning” dominated the discourse of critical theory.  These debates, too, tacitly informed various scholars’ conceptualizations of “What is Bavli?”  Thus, romantic literary criticism and its corollary representative in the field of Talmud study, David Weiss Halivni, combines “person” and “meaning” in the concept of a fourth element, intention.  For Halivni, this manifested itself in his figure of the “stammaim,” who, as he sees it – whether as a “person” or a collective entity – historically precede “writing.” In contrast, New Criticism in general theory and its corollary representative in Talmudic studies, Shamma Friedman, locates intention directly in “writing” by making “person” and “meaning” the direct function of “writing.” In doing so, Freedman advances the method of close reading. That is, by avoiding the notion of “stammaim” (who precede “writing”) in favor of the ba’al ha-suya (who is both function and subject of the “writing”), he discerns the authorial intention in the “writing” but not in the preexisting “person” (of the author).

In the next point on the map, “poststructuralist” thinkers, such as Roland Barthes – and for rabbinics Martin Jaffee – posit that the reader (or audience) is the author. Such an approach dismisses the notion of intention either in “writing” or in the “person” of the author altogether.  These critics would consider “meaning” a part of “writing” that is revealed by the “person” of the reader.  Zvi Septimus recent work on reading the Bavli takes up and promotes that line of development further by putting the function of the reader at the center of writing production, construction, and presentation to other readers and/or audiences. In light of a poststructuralist vantage point, Friedman’s position on the map can be further articulated as a new relationship between “writing,” “meaning” and “person.” For Friedman, “writing” controls the emergence of “meaning” in the “person” of the non-critical reader, who remains obedient to the rhetorical figures as they present themselves in the “writing”–even if such a reader is highly analytical.  However, another “person,” that of the critical reader, traces the production (transformation) of the “writing” from an earlier stage to a later one. Thus, critical readers actively undermine the aspiration of the non-critical readership to absorb the “meaning” of the “writing.” Critical readers, on the other hand, by reading the “writing” as a record of transformations from earlier to later versions of the Talmud, provide what they assume to be the authentic “meaning” of the “writing.” For Friedman, therefore, rhetorical figures, such as shaqla ve-tarya or quotation, act on the “person” of the non-critical reader to seduce them into a false sense of the transparency between “meaning” and “writing,” one that is undone by the critical scholar.

The work of Paul De Man on the epistemology of metaphor corresponds to this position of Friedman in the following way. For De Man, the critical reader sees metaphor at work where the non-critical reader (or thinker) does not. What’s crucial is that for De Man all “writing” is a metaphor, whether or not a reader or a “person” notices that. The non-critical reader merely views metaphor as an ornamental element; and the task of the critical reader is to reclaim the power of the metaphor (or other rhetorical figure) which is lost on the non-critical reader. By doing so, the “person” of the critical reader reveals true “meaning” of the “writing” as the work of the transformation. Daniel Boyarin’s early (Hebrew) work on Sefardi Speculation marks a similar position on the map, even though he works with other rhetorical figures (such as homonymy and invention [hiddush])  The “transformations” from the earlier to current versions of the Talmud in Friedman or the sorting out of false homonyms for Boyarin correlate to De Man’s epistemology of metaphor.

At this point, the map of scholarly conceptualizations of “what is Bavli” in terms of “person,” “meaning,” and “writing” transitions to a radically different area. In this neighboring area of the map, “writing” – in the sense of rhetorical figures that produce meaning, such as metaphors – does not have enough power to control “meaning” or “person” because while metaphor seeks to explain something by comparison to another thing, it can only do its work by maintaining its utter distinctness from the thing it seeks to explain through comparison. That means the metaphor depends on, but does not control, the distinction on which it draws the comparison, and therefore the “meaning” conferred by that comparison. Derrida, and, in Talmud study, David Stern and the later [English] work of Daniel Boyarin on intertextuality, make this point. Once Derrida explained that metaphor insufficiently controls meaning, an engagement with explicitly philosophical and/or theoretical perspectives became necessary in order to understand how the Talmud produces meaning for its readers, whether critical or uncritical, for even De Man’s and Friedman’s critical reader is now also in a bind. To turn back to the coordinates of the map, if the rhetorical figures of the “writing” cannot fully control “person” and “meaning,” a direct engagement with the philosophical theory of signification becomes a necessity in thinking about what Bavli is.

In a sense, the field of Bavli scholarship has already turned to directly thinking within the horizon of relationships between the Bavli and philosophy as traditions of thought. The recent work of Christine Hayes, Richard Hidary, and Jenny Labenz, among others, explicitly engages Greek philosophy as a necessary framework to be used for the historical study of the Talmud. Along slightly different lines, Barry Wimpfheimer’s recent renegotiation of the relationship between narrative and law (as well as of the constructed partition of the Talmud into Halakah and Aggadah) has also contributed to this process. Shai Secunda and Michal Bar-Asher Siegal two new books, too, contribute to that engagement, albeit, as I will explain, in an even more radical way.

The Two New Books on the Map

As stated at the outset, how one answers the question of “what the Bavli is” effects how one approaches questions about the context and genesis of the Bavli.  The two new books by Bar-Asher Siegal and Shai Secunda expand the exploration of the genesis of the Bavli by including new contexts for comparative study – namely, Christian monastic and Iranian Zoroastrian contexts.  For these scholars, conceptualizations of “what the Bavli is” informs their overall construction of context. That is, before these scholars begin to read the Christian monastic and Iranian Zoroastrian sources they have already (implicitly) answered the question of “what the Bavli is.”  However, each of these scholars’ answer to the question of “what the Bavli is” belong to different areas on the map. They therefore approach contexts differently from each other.  I will now plot their respective points on the map.

I see Bar-Asher Siegal’s book as both occupying and further extending the space demarcated by Halivni and his notion of stammaim.  This is the location on the map in which “person” combines with “meaning” to form intention that precedes “writing.”  Jeffrey Rubenstein’s work on rabbinic culture also falls within this space on the map because for Rubenstein, too, the collective “person” (redactors) combines with “meaning” to form intention and precedes the “writing” (the Talmud). Based on this approach, he reconstructs the “culture” of the redactors. Similarly, while impressively extending this location on the map to embrace new cultural contexts, Bar-Asher Siegal, in her contextualization of the Bavli within a tradition of monastic literary culture, treats “meaning” as conflated with the “persons” of either the monks or rabbis, who in turn produce “writing.” It is due to her placement of “person” and “meaning” before “writing” that allows her to first see the Talmud as an “anthology” and therefore enables drawing comparisons between the Bavli and monastic anthologies. She thus goes at least two very important steps beyond Halivni and Rubenstein. First she expands the context of cultural comparative exploration to embrace parallels found in monastic literature, thus revealing a “culture” that the monks and the rabbis share. Second, she thereby creates a possibility to explore the reconstructed rabbinic culture in comparison with other cultures.

The crucial point at which Bar-Asher Siegal’s and Secunda’s books differ has to do with their respective commitment, or lack thereof, to the notion of the stammaim. Like Halivni and Rubenstein, Bar-Asher Siegal commits to that notionOn the other hand, Secunda does not have to commit to the notion of stammaim in the first place because he follows Friedman’s conceptualization of the Bavli. I furthermore see Secunda’s work as occupying a different point, or rather drawing a different line, on the map, as compared to Bar-Asher Siegal. That line begins from and threatens to go beyond the territory marked by Shamma Friedman’s approach. Both Friedman and Secunda fundamentally approach the Bavli as “writing” in the sense of the record of its transformations. For Secunda, both the Bavli and the Iranian literatures are to be seen by the “person” of the critic  as one general landscape – what he calls a “text-scape” – which can then be partitioned into segments or corpora, called Bavli, Zoroastrian texts, etc.  In this approach, “writing” becomes the text-scape; “the person” is the critic looking at it from an elevated vista-point to discern the records of transformations; and the “meaning” is a record of the landscape, its segments (Rabbinic and Zoroastrian) and their parallel transformations that the critic discerns or discovers. What connects Secunda to Friedman is his focus on text-scape as a type of “writing” that is a record of its own transformation.  Therefore, though Secunda mentions stammaim, he, just like Friedman, does not have to commit to the concept. What takes Secunda’s program beyond Friedman’s can be further defined as a synchronous diachrony of Iranian and Talmudic texts.  That means Secunda expands Friedman’s model in the following manner: Friedman, whose method is to view the Talmud’s transformation diachronically, focuses exclusively on rabbinic corpora of writings. Secunda makes the next step. He introduces a parallel diachronic processes of transformation in Iranian Zoroastrian writings and compares two diachronic process, the Bavli, and the Iranian Zoroastrian writings, as synchronically developing next to, and in interchange with, one another. These parallel transformations belong to one and the same broader “text-scape,” which – and this is, I think, Secunda’s most important innovation – transcends any given partitions between the corpora, established in the version of Talmudic and Zoroastrian texts which are “le-faneinu,” to use Friedman’s term.

Let me conclude mapping by situating these two books in regard to the last point on the map, the one marked by Boyarin and Derrida. At this point, “writing” as understood in either Halivni or Friedman cannot fully suffice to control “person” or “meaning.” Instead a direct negotiation of meaning-production becomes necessary. Because philosophy has so far been the only discipline to address meaning-production in the full scope of its complexity, in order to conduct such a renegotiation of the Talmud as a certain way of meaning-production scholars must take up the question of relationships between the Bavli and philosophy as modes of meaning-production, and thus as modes of thought. The connection of Secunda with this point on the map is as follows. Because in Secunda’s work synchronous diachrony of textual transformation becomes the guiding principle of contextualization, it brackets both culture and history, concentrating instead on text-scape as the original area of meaning-production, which is prior to either culture or history.

Similarly, Bar-Asher Siegal’s work – even though it commits to culture and history to a much greater extent – no longer aims to learn about the culture of the Talmud based, predominantly, on reconstructing it from the Talmud, but rather compares it with the cultures reconstructed from, or implied by, other literary corpora of the “writing.” That leads to decentralization. Precisely because Bar-Asher Siegal finds no antagonism between monastic and Talmudic anthologies, her research opens up a possibility of departing from the notion of “context” which by definition implies a “surrounding” (culture) and a “center” (the Talmud). Instead, her book enables concentrating the research on an exploration of cultures without necessarily privileging any of them as the center. In that sense, Secunda’s “text-scape” and Bar-Asher Siegal’s “anthologies” perform such a decentralization – indeed nearly a cancellation – of the hitherto predominant notion of the “context.” Thus, “writing,” which these scholars address, extends beyond the traditional centralism of “context.” Needless to say, in light of this new, decentralized, understanding of “writing” the question of the genesis of the Bavli reemerges in new light and with a new power, as well, but that would be a topic of a different essay.  Let me add that Bar-Asher Siegal’s and Secunda’s research opens up new questions about the “person” of a critical scholar and about the “meaning” that the “person” discovers in the “writing” as the record of genesis, thereby drawing new attention to the question of what Bavli is, now in the decentralized environment in which the notion of “context” comes into question anew.

Let me postscript with a clarification inspired by  the question-and-answer session at the AJS. One might ask, does not answering the question of “What is Bavli?” lead to essentialism? Therefore, is not the question to be dismissed on anti-essentialist grounds?  My answer would be that the question of “What is Bavli?” is not the one I advocate for. My argument is only that this question has force. That means answering it — with either explicit or implicit answers — kept shaping thinking about the Talmud beginning from polemics with Karaites through Maimonides etc. My argument is that the question of “What Is Bavli?” continues to execute its force in modern academic Talmud scholarship too, and to that, and only to that extent, the question requires even more attention than it has received so far.

 

Moulie Vidas – “Approaching the Bavli’s Contexts: Theoretical and Empirical Questions” 

The contextual study of the Bavli has seen its ups and downs, but the two works that serve as points of departure for this presentation constitute a particular moment in the study of the Bavli’s world. The books are very different: one cannot say that Secunda has done with Pahlavi sources what Bar-Asher Siegal has done with monastic sources. And still, both of them can be treated as securing these respective corpora as important comparanda to the Bavli, and they do so in works that present new methodological sophistication and more explicit attention to the significance of contextualization and the ways we may approach it.

Since these two books and other recent works dedicate so much space to justifying and arguing for the very use of non-rabbinic or non-Jewish evidence in the study of the Talmud, at this point I’d already like to emphasize that the contextual study of rabbinic texts is now a fact; those who remain unconvinced by its necessity are probably not going to be convinced any more, and those who have been convinced are probably not going to benefit from further emphasis on this necessity. No longer is the question should the Bavli be studied “in context,” but rather: what are the contexts in which the Bavli should be studied; how should we study the Bavli in context; what does contextual or comparative study of the Bavli offer us in solving existing questions, and defining new questions, for our field.

I am emphasizing this because, it seems to me, there is a danger for the lines of inquiry pursued by these books, and indeed by other works recently published on these subjects, that they will contend themselves merely with demonstrating the existence of parallel texts, of this or that shared motif, of this or that shared legal concept. Calling this a “danger” is controversial, I realize; many people present here might find such projects to be important, and even necessary. To me, it seems that the purpose of such projects, if they limit themselves to the mere demonstration of connection between Jewish and non-Jewish sources, has been well served in the past few decades of scholarship on rabbinic literature. At this point, especially with the publication of books that have given the comparative project such eloquent and sophisticated expression, the purpose of contextual study should be to serve broader questions. Both Secunda’s and Bar-Asher Siegal’s book already go beyond merely demonstrating the context. They probe broader historical, literary, and methodological questions, and the following observations are dedicated to these broader contributions and to where they can lead us in the future.

One of the most interesting questions that comes out of the publication of these two books in chronological proximity is what the two projects – contextualizing the Bavli with Syriac Christianity and contextualizing the Bavli with Iranian and particularly Zoroastrian culture – mean to one another. Now of course, this should never be seen as a zero-sum game. The question is not “should we study the Bavli with Christian or Zoroastrian texts in mind?” That is because communities can be embedded in multiple and complex sets of contexts, and, perhaps even more importantly, because the Bavli does not reflect a homogeneous community – it includes sources from different locations and different times. Still, I think the presence of the Christian element, which scholars working on the Iranian/Zoroastrian side have not always taken seriously enough, should make us re-consider some of the assumptions we make when we study that Zoroastrian or Iranian element.

Let me give for example an analytical perspective that is used and developed by Secunda but which was first applied to Irano-Judaica by Yaakov Elman in The Cambridge Companion to the Talmud. Elman suggested that we can place Babylonian rabbis on a spectrum: on the one end are the urban, upper-class cosmopolitan rabbis open to the “outside world,” who are willing to accommodate to Persian culture and were lenient on mingling with non-Jews; on the other end are traditional rabbis, far from the cultural centers of the empire, who resisted this accommodation to foreign culture and people (Elman 2007, 165-197; Secunda 2014, e.g. 3-5, 83).

The consideration of the Christian element complicates this picture considerably. First, we are looking at multiple spectra in which there are multiple cultural options which can be constructed as “upper class” or “outside world.” In other words, one does not need to be a Persianized Jew to be a cosmopolitan Jew in the Sasanian Empire.  Second, the Christian element, especially the non-polemical “shared worlds” which stand at the center of Bar-Asher Siegal’s study, raises the possibility that when Jews spoke unfavorably of Zoroastrian practices they did so not as part of some objection to the outside world or mingling with non-Jews but as a performance of a difference between two culture each equally “foreign.” (To give one prominent example, take the mockery of Zoroastrian “murmuring,” common to both Christian and Jewish sources).

This diversity should warn us against vocabulary employed by Elman, Secunda (and others), of “accommodation” or “acculturation” and “resistance” and mapping these positions into a social distinction between the cosmopolitan upper-class and the more provincial and less aristocratic.

Let me illustrate this with a very brief discussion of a couple of texts. The first is the one which Elman used to make his point, and which Secunda cites; the second is connected to a move Secunda makes at the end of his third chapter. Elman argues that a story about a confrontation between Rav Yehuda and Rav Nahman in b. Qidd. 70a-b was written by “Pumbeditan ‘resisters’,” and they have Rav Yehuda criticizing Rav Nahman for his “elitist, Persianized” language. Indeed, Rav Nahman employs several Persian words, and in each case Rav Yehuda offers him two alternative options “from Mishnaic Hebrew or popular Aramaic.”

But in terms of language choice, this story represents the mirror image of another Talmudic text. A teaching attributed to Rav Yossef (b. Sot. 49b and par.) argues that one should use either Persian or Hebrew, but definitely not Aramaic; in Elman’s text, Rav Yehuda supports either Aramaic or Hebrew, but not Persian. Now, to be sure, a rabbinic passage prohibiting Aramaic is problematic given ubiquitous rabbinic use of the language. But, if we take for a moment at face value, and if we compare it to the story about Rav Yehuda which Elman uses, then both texts seek to limit the use of language shared by Jews and others while endorsing either Hebrew or another foreign language (In Rav Yehuda’s case, we limit Persian, shared by Jews and Persians, in favor of either Hebrew or Aramaic; in Rav Yossef’s case, we limit Aramaic, shared by Jews and Christians, in favor of either Hebrew or Persian).

Is it possible then that just as the Qiddushin story sees as its main threat Persian culture, the teaching attributed to Rav Yossef saw Bar-Asher Siegal’s “shared world” as the main threat? This would shed light on another teaching attributed to Rav Yossef which Secunda employs in which the Persians are portrayed negatively (and let me here assume for the sake of the discussion, with Secunda, that the attributions are reliable). Secunda describes Rav Yossef as a “resister” to accommodation of Persian culture – but, again, given that some negative portrayals of Persians are actually shared by Jews and Christians, this would not necessarily be a comment by an inward-looking Jew resisting non-Jews, but rather by a Jew participating in a conversation about the Persians which was shared by a set of Sasanian elites – the Aramaic speaking set, which included non-Jews.

Furthermore, the juxtaposition of these two texts, Rav Yossef’s teaching on language and the story about Rav Yehuגa and Rav Nahman, shows us that we cannot say that one was written by “resisters” and the other by “accommodators.” Seeing these texts together warns us against using as analytical categories the demarcation which these texts are trying to impose: yes, the character of Rav Yehuda in the story sees Persian as a compromise of Jewish identity, but that’s presumably not true of the character of Rav Nahman and is certainly not true of the teaching by Rav Yossef which recommends Persian; conversely, the teaching by Rav Yossef sees Aramaic as a problem, but Rav Yehuda in the story does not – in other words, it is the story that defines the use of Persian as “acculturation.”

Finally, we should acknowledge that “resistance” often, perhaps even more often than not, comes from those who are most intimately familiar with the culture that is the object of resistance. Elman portrays the author of the story on Rav Yehuda and Rav Nahman as a provincial who resisted the upper class – but in fact, this author knows not only to employ the dialect he resists, but also to paint a compelling picture, complete with fine details of hosting decorum, of the very lifestyle he criticizes. The familiarity and access this story implies problematizes reliance on class or location in our explanation of rejection. The same can apply to Christianity, using Bar-Asher Siegal’s terms: the polemic engagement we find with Christianity in the Bavli is premised on the great deal of non-polemic interaction that she worked to uncover.

Now, for the Christian element in the Bavli itself. Bar-Asher Siegal’s book focuses on “early Monastic literature” as a whole rather than on early Monastic literature composed and preserved in Syriac in the Sasanian Empire. This in itself is the result of the varied and poorly documented nature of chains of transmission in antiquity – after all, even if a text is documented in Syriac, in Ctesiphon, we cannot know that a Jewish storyteller has encountered it. But the broad geographical scope of the book’s Christian sources raises the question of where the introduction of monastic elements took place. Bar-Asher Siegal is able to document definite “monasticizations” that are evident only in the Babylonian rather than in Palestinian versions of certain texts. But does that necessarily mean the modification happened in Babylonia?

I’d like to offer an additional perspective here that focuses less on geographical difference and more on chronological difference. This should not be seen as a mutually exclusive alternative for the geographical considerations offered by Bar-Asher Siegal’s and other recent works – rather, it is complementary (indeed, Bar-Asher mentions this briefly, though it is not her main paradigm to understanding the connections she found). In this perspective, the Bavli represents more “Christianized” or “monasticized” versions of certain texts not just because it is Babylonian, but because it is late. Most of the Palestinian documents we compare with the Bavli are, after all, significantly earlier than it; and late Palestinian documents show much more engagement with Christianity than the early Amoraic documents (as far as the Tannaitic corpus is involved, I’m very skeptical of any claim to see a trace of Christianity). The “lateness” of the Bavli here is important in two respects. First, Christianity and monasticism have been established for much longer. The second, and I think more interesting consideration, is that particularly the editorial strata of the Bavli represent an era when the rabbis had much more popular influence and control than they had before. One possible consequence of this “rabbinization” of Jews might have been “rabbinization” of groups and traditions that were up until that period not part of the rabbinic project, and existed side-by-side the rabbis, but were now brought into rabbinic circles and rabbinic texts as Jewish culture became more and more centered around the rabbinic academy.

Let me now move to contributions these books make that overlap with, but do not strictly belong to, the question of historical context.

First, I’d like to draw out the implications of one of the most significant contributions of Bar-Asher Siegal’s study – the reconsideration not just of the textual affinity between monastic tradition and rabbinic (or “rabbinized” traditions) but also the relationship between the social and cultural phenomena that underlie them. I refer in particular to her study of ascetic behavior in Chapter 3 and more specifically the figure of the monk in Chapter 5. Now, we are far from the days in which Urbach and others, cited by Bar-Asher Siegal, happily distanced Judaism from asceticism. Work by Fraade, Diamond, Kalmin, Satlow, and Rosen-Zvi all showed that askesis, perhaps in a particular rabbinicized form, was important among the rabbis. But Bar-Asher Siegal’s study, because it is based on comparative textual analysis, does much to uncover the voices in rabbinic literature which think of askesis in Judaism and which construct the rabbi in terms closer to the way monastic literature portrays the monk. If Kalmin’s essay on rabbis and holy men centers on texts in which holy men are important, but in which they are portrayed as different from rabbis, Bar-Asher Siegal helps us see what Kalmin suspected, that is, that this is a response not to asceticism beyond or outside the rabbinic movement but rather from within.

Also moving beyond strict contextual questions is Secunda’s final methodological chapter, which includes a wonderful account of rabbinic textuality in general and of the Bavli in particular. The chapter is admirable in its focus on reception rather than invention in tracking the Bavli’s context, looking at modifications of Palestinian traditions rather than texts which are Babylonian ab ovo. This is particularly useful because studying the Bavli in context is different from studying Palestinian rabbinic literature in context: the Bavli contains, and is structured around, Palestinian material; it expects its readers to be intimately familiar with Palestinian geography, with Roman institutions and deities, with some Greek words – and in many contexts it discusses those Palestinian elements more in detail than it does Persian institutions. Secunda’s point – that we must read these Palestinian materials too in a Persian context by looking at their particular Babylonian career – is convincing and important.

The chapter’s most ambitious point is that this means that even when Palestinian traditions are not modified we should supply the Persian context ourselves. This seems to me methodologically problematic but descriptively very true. The reason we focus on modifications is that they are measurable. When we do not have textual variation, or when it is very uncertain where a textual variation was created or what it means, the reconstruction of the text’s context becomes very speculative. It calls for a lot of assumptions of what the author of the text must have known, assumptions that are very difficult to make in the state of our evidence (remember that some sugyot in the Bavli often do not know other sugyot in the Bavli – which makes it difficult to assume that just because certain Zoroastrian traditions can be documented in the Bavli’s time and place, it may be assumed to have been known by the author of a Bavli passage).

But the fact that it is methodologically risky does not mean that the description on which this move is based is not true. In other words: Secunda’s description of how the Bavli worked as a text, his highlighting of the way the Bavli itself is always a reading of tradition that is almost predominantly located elsewhere than where it was reading it, is, it seems to me, a very powerful image of the Talmudic composition process. While it cannot serve as a good guide in reconstructing connections between the Bavli and Iranian texts, it opens new paths for understanding how rabbinic texts worked for their communities.

Standard
Conferences, English

What is Bavli: A Forum

In light of the recent publication of four books on the Bavli, a session (modeled after a  predecessor on What is Mishnah) entitled “What is Bavli” was organized this past December at the annual Association of Jewish Studies conference. The panel considered recent developments in scholarship on the literary structure and cultural context of the Bavli, and discussed the possibilities opened by these developments; the broad historical, literary, methodological, and conceptual questions which they raise or imply; and the problems which the field currently confronts. The session was divided into two halves: “Approaching the Bavli’s Structure” and “Approaching the Bavli’s Contexts.” Continuing the round-robin tradition of the ‘What is Mishnah’ symposium, the authors of two new books on the Bavli’s context, Michal Bar-Asher Siegal and Shai Secunda, focused on books by Sergey Dolgopolski and Moulie Vidas which are animated by questions of form, while Dolgopolski and Vidas took on Bar-Asher Siegal’s and Secunda’s monographs, which are animated by questions of context. Then, Christine Hayes responded to all four papers. The result was a robust conversation about current scholarly interests and new scholarly horizons; in a way, a meditation on what we talk about when we talk about the Bavli. The Talmud Blog will be publishing the papers of this session over the next two weeks, and a PDF of the entire forum will be available for download when the forum is completed.  We invite our readers to use the comments section to continue the conversation that was begun in Baltimore, and which will surely take us into the years ahead.

“The Anonymous Redactor,” Netanel Bollag, 2014

I. Approaching the Bavli’s Structure (Pt. 1/3)

Michal Bar-Asher Siegal – “What is Bavli? Historical, Literary and Ideological Outlooks”

The two books I was asked to address for today’s session are Sergey Dolgopolski’s Open Past: Subjectivity and Remembering in the Talmud (2012) and Moulie Vidas’ Tradition and the Formation of the Talmud (2014). These two exciting projects are a continuation, and in a sense a culmination, of recent academic trends in which the final product of the Talmud and the work of its editors are given full attention.

In my overview I want to talk about these two books, but in relation to the other two books that stand in the focus of this panel, namely, Shai Secunda’s The Iranian Talmud: Reading the Bavli in its Sasanian Context and my own Early Christian Monastic Literature and the Babylonian Talmud. I see these four books not as two vs. two, as the structure of this panel seems to suggest, but rather as four books in a continuum with differences in focus. All four books try to juggle two different goals: The first is the careful use of methodological and philological tools in the study of rabbinic texts in general and the Babylonian Talmud specifically: From lower philological critical approaches and the use of manuscripts; critical editions of texts and linguistic examinations; to the higher criticism of texts including a strong emphasis on the layering of Talmudic texts.  On the other hand, all four books, and maybe even more so Vidas’ and Dolgopolski’s, attempt to address “the bigger questions”: How was the Talmud written and why? All four books use textual examples to prove their claims. They offer careful and close readings of Talmudic passages but at the same time remember to lift their gaze above the page of the Talmud and look at the world in which these texts were produced, and at their authors who lived in these times.

The topics these books engage can be outlined as (a) the historical question, (b) the literary question and (c) the ideological question. The historical perspective outlines the way in which the Bavli is a product of its time. The literary one tries to describe how the Bavli was written and in what way was it redacted. And the ideological inquiry deals with the authors or redactors’ agendas.  In the different books the ratio between these questions change: Secunda’s and my own book put the historical question at the center: How is the Bavli part of its time and general culture, whether Christian or Persian. On the other hand, Vidas and Dogopolski focus extensively on the ideological aspect: What can we learn about the purpose of this corpus from its current form?

As a matter of fact, Secunda’s and my own book deal with the other two questions as well. For example, the editorial perspective is naturally present when an external parallel to a talmudic sugya sheds new and surprising light on the literary editing of the Bavli passages. And the ideological issue is very much present in these discussions when the “melting pot” nature of the Bavli is revealed by these examinations: The amount and variety of the sources used in the Talmud is found to be much larger than previously thought, thereby strongly illuminating the agenda of redactors using these materials, their interactions with the world around them, and their choices when shaping this magnificent creation they were preserving for generations to come.

Vidas and Dolgopolski center their arguments on the ideological question and offer two new perspectives on it: Dolgopolski uses (at times very technical) philosophical terms and theories to treat the final literary structure as means for discussing remembering and thinking. The rhetoric and dialectics of the Talmud should be viewed as collective thinking about the Mishnah. Vidas views this very structure as an attempt to construct a Talmudic figure invested in the project of innovation instead of simply recitation; עוקר הרים rather than סיני. But both books reflect on the other questions as well. The historical question is very much present in Vidas’s book in his chapters on Persian parallels and even in his consideration of the Hekhalot literature. Vidas, at the same time, pushes the historical reading aside when he claims that the layers of the Talmud are NOT a product of historical transmission of texts through the ages, but rather a product of a sophisticated rhetorical editing. But as he clearly shows, the mere attempt to use these rhetorical tools is in fact a historical product of the redactors’ times. Dolgopolski, on the other hand, criticizes Halivni and Friedman for the historical descriptions their research produces. He comes out against their work by undermining their philosophical assumptions. Dolgopolski contends that by viewing the Talmud’s sages and its various editors and “montagists” as historical subjects they were looking at textual phenomena and offered a historical scenario for their creation. The options are not, and should not be, limited to identifying their misrepresenting ancient traditions due to either intentional manipulation or mere mistakes. Dolgopolski deals in fact with the historical question by suggesting that a different philosophical understanding of these Talmudic entities will lead to a more accurate historical description, by which they should be treated as non-thinkers rather than thinkers; a collective thinking by remembering. We got the history wrong because we failed to understand how modern thinking and remembering is so much different than ancient ways of thinking and remembering.

Notice, however, that I just assumed a very wide definition of the historical question. In fact, a comparison between the four books reveal that they address a slightly different historical question: Secunda’s and my own book assume historical factors that left their marks on the texts – marks that we can recognize by using textual, literary and philological tools. But Vidas and Dolgopolski look to the final and complete form of the texts in order to offer a historical description of its creation. In other words, Secunda’s book and my own look for the cracks, the discordances, and the inconsistencies to reveal the complex creation of the text. Vidas and Dolgopolski, on the other hand, seek to turn their gaze to the final form: What it tried to achieve and what it does to the traditions it is clearly trying to preserve for both the people who preserved them and to those who read them to this day. Using a different analogy from Dolgopolski’s discussion of film theory: While the former try to dismantle the theatre scenery to reveal what’s behind the curtains (מאחרי הפרגוד), the latter try to enjoy the façade of the theatre in all its glory.

As for the literary question: How was the Bavli redacted and in what way? Vidas and Dolgopolski obviously deal with that as well. As I mentioned earlier and as is evident in both their books, both Vidas and Dolgopolski look at the final product of the Talmud as a complete literary creation. They assign great importance to the final product and the intention behind its creation, and in a sense come out against the local inquiries of Talmudic sugyot without the ramification for the larger question of the corpus’ redaction. Vidas, more so than Dolgopolski, handles the details of the redaction and, for example, brilliantly show that not only does the Bavli not offer a literary structure ex nihilo for the existing traditions, but it actually replaces one structure for another. Vidas suggests that this is done for the purpose of giving itself the critical distance from the texts they are transmitting and allowing for innovation.

Obviously, the ideological question stands at the center of both Vidas’ and Dolgopolski’s books. The ideology they assign to the redactors of the Bavli shares the same starting point, though it ends up in very different places. Both put at the center of their focus the Bavli’s goal of preserving earlier traditions. They both acknowledge the centrality of this concept and the self-evident importance of this goal in the creation of the talmudic corpus. However, Dolgopolski articulates a position that wishes to limit our understanding of these actual talmudic figures to simply transmitters of the traditions – “Placeholders for textual traditions,” as he calls them. They should not be evaluated as “actual persons” in the sense that they should be understood as thinkers and there is no significance to the structure or content of their own actual arguments. There is, in fact, no real dialogue in the Talmud and the “author” is fictional. We must evaluate what we read as “choreographed roles” in a larger collective thinking project. Vidas on the other hand, starts with this same point of departure – namely, the preservation of past traditions – but pushes us to see the Talmud’s redactors as transmitters of tradition as well as taking an ideological stand towards these traditions that they are transmitting. They purposely differentiate themselves from what they are transmitting. The comparison to the Palestinian Talmud shows a deliberate creation of layers, a creation of an intentional literary gap between the past and their own present. In other words: if Dolgopolski wishes to stress the non-thinkers, Vidas wants us to look for the thinkers.

The shared sense of intentionality in the literary creation of the Talmud’s final form, as well as some kind of unified purpose to the whole corpus, stand at the core of both books. This stance, rather than allowing explanations based on elements of random historical accumulation or even the possibility of multiple descriptions of text creation, will undoubtedly stand at the center of debate with other Talmudists dealing with these same questions. How much intentionality can we assume in the creation of a text? And how realistic is it to ask scholars to abandon the historical inquiry into an obviously layered text in favor of Dolgopolski’s movie-like montage? But for this Talmudic scholar, the experience of reading these two innovating and exciting research projects mostly signal a promise for much renewed interest in the big question that is: What is Bavli?

 

Shai Secunda – “What is Bavli? From the Art of Memory to Contemporary Film Art”

In his review of Moulie Vidas’ Tradition and the Formation of the Talmud, Itai Marienberg-Milikowsky noted how a number of new works on the Bavli (including those considered in this session) attempt to look beyond their particular research project and gesture towards the greatest question of all, namely, “What is the Bavli?”  This question is necessarily ponderous, as it concerns a nearly two-million word compilation which has itself spawned a labyrinthine commentarial tradition of near-impossible proportions. Yet in practice, the query may also be approached in the still, small voice of the individual sugya. On more than one occasion I have found myself in the classroom prodding philologically-minded students to take a step back and consider, for just a moment, what exactly the textual artifact before them is, how it presents itself, and how it relates to the times and settings from its protracted formation to the moment it rests on their desks. Even after retracing the steps from hasty pre-class photocopying to digital transcription; printed editions; manuscript codices; ancient scrolls; crystalized recitations; earlier, freer, oral “redaction,” all the way to some kind of talmudic “big bang,” I press them further: Still, apart from its historical development what is this thing? What does it reflect and how? Better, how does it present itself to the world? At this point the conversation becomes more abstract – as it surely must for physicists inquiring into the early moments of our universe’s existence – and the technical vocabulary that generally serves academic Talmudists so well begins to fail.

Sergey Dolgopolski’s Open Past: Subjectivity and Remembering in the Talmud is an ambitious attempt to look at this unwieldy question. It is a necessarily difficult book for Talmudists, and not only because most Talmudists lack a solid background in Heidegger. The Open Past develops a critical approach to critical Talmud research and so must by definition stand outside the conventional discourse in order to re-consider what exactly the Talmud does in the sugya and how the Talmud’s various figures (from named authorities to unnamed discussants; and from editors who frame the material and those who manipulate the texts to “montagists” who juxtapose the Talmud’s larger sections) should be assessed. If this were a standard work of the field, one might have assumed that Dolgopolski’s interrogation of the common equation between the different talmudic voices with “real” autonomous thinking-subjects located in history was just another reassertion of Neusnerian skepticism about attributions and historical reliability. But it is surely not. Apart from challenging Western philosophy to reconsider notions of subjectivity, thinking, and remembering in light of Talmud, Dolgopolskiis asking us Talmudists to probe the basic axioms of our discipline and consider whether the constant attempt to read for historical subjects who either misunderstood or manipulated their received traditions is both anachronistic and ill-suited for appreciating what the Talmud actually is.

The focus of The Open Past’s inquiry concerns authorship and its potential location(s) in the sugya. By now any contemporary Talmudist worth his salt could rattle off a basic bibliography on the inapplicability of modern notions of authorship to the Talmud, which would surely include Barthes, Foucault, and the likes of Martin Jaffee. Dolgopolski argues that it is still not enough to uncritically replace modern authorship with a final-stage anonymous stammaitic collective, since both cases presume an overarching thinker (or group of thinkers) who from within and without the text actively use the mind to orchestrate the sugya’s discussion – an anachronistic idea. Instead, he argues that the sugya presents itself as late antique intellectual specimen where thinking about the Mishnah does not occur within the individual minds of its historical editor/redactors, rather it collectively emerges among the text’s virtual figures who practice a largely non-mnemonic art of memory whereby the Mishnah, alongside parallels, is actualized (that is, “remembered”) by way of heavy-hitting dialectical discussions that ultimately support it. The poetics of the sugya are then fascinatingly compared to film, a cultural artifact similarly oriented towards an assumed audience whose gaze experiences the pairing of (film-)cuts from an assumed position in front of the screen. While it might be interesting to occasionally ponder the filmmaker and her external historical position in relation to the figures depicted within the film, this is surely a marginal pursuit. It is not for naught that that we expect film criticism of The Godfather to focus on its compelling cinematic artistry and not the historical manipulations of Francis Coppola as he tells the story of mid-century Mafiosos from the vantage point of 1970’s Hollywood. Why then do we Talmudists generally assume that our primary task is to trace a sugya from its early Palestinian kernel as it is manipulated by anonymous redactors who rework conversations of prior sages from the position of sixth century Babylonia?

If my brief account seems opaque, it is not only because I cannot possibly, adequately, summarize the book’s highly complex and lengthy argument in the space allotted, but also since it again constitutes an attempt to step outside our dominant Cartesian paradigm wherein the main action worthy of interest in human affairs takes place in a succession of thinkers who collectively produced the Talmud “from the outside” over the course of an historically-defined time period. The result of The Open Past is fascinating and deeply thought-provoking, yet to my mind not enough to push Talmudists to suddenly abandon their preferred disciplinary focus. Yes, it is indeed a strange accident in the history of scholarship that what interests many of us is still the production of this incredible piece of literature in a specific time and place from within a specific culture. And yet we will continue to reach for that cultural moment(s) – if now with a more self-aware posture – at virtually any cost.

What might “post-Open Past-critique” Talmud scholarship look like from within the discipline? I would like to think the answer can be found in Vidas’ Tradition and the Formation of the Talmud. Apparently, this book was not written with knowledge of The Open Past, yet it nevertheless develops a related, critical stance towards the assumptions modern Talmudists have made about the contribution of the Stam. Specifically, the Stam has been conceived of as a historical force that quite actively reframes earlier textual kernels in an attempt to continue a glorious rabbinic heritage in the contemporaneous moment. The main event is to be found in the Stam’s anonymous layer, which with its distinctive Aramaic idiom directs the action as a voice-over might narrate the events in a documentary film. Vidas challenges this view of the Talmud’s textual history by engaging in cultural archeology that demonstrates how the Talmud’s editors are actually quite opposed to a full-throated celebration of older tradition in the present. The strongest moments in the book are Vidas’ examples of sugyot that appear to contain late directorial voice-overs, yet which are shown in fact to be cinematographic tricks of the eye. The activities uncritically attributed by Talmudists to the Stam may in fact be a contrived poetic devise that deliberately manufactures distance between older sources and invented traditions.

If this sounds like post-modern film, well then…it is. I read Vidas’ book after finishing Doךgopolsky’s chapter on “The Talmud as Film.” I also kept on thinking about my favorite contemporary film artist, Omer Fast, whose work I have enjoyed at exhibitions in his native Israel and adopted Germany. Fast is animated by some of the same questions as Vidas is: The inevitable assumptions audiences make about authoritative accounts, especially where such a narrative is expected to uncomplicatedly frame the action presented to the viewer. If you have the time, go see his work housed in collections in Berlin, Jerusalem, and around the world. If you prefer the comfort of your computer-chair, look at this clip from his 2011 “Five Thousand Feet is Best”:

In the film, a former drone operator details the procedure of releasing a missile towards a human target while the movie follows a child riding a bicycle in an environment that is both manifestly different yet eerily equivalent to the one described by the operator (previous and subsequent cuts in this work contain similar, disturbing pairings). A worthwhile exercise would be to try, if you dare, to produce a diachronic analysis of the various elements in this film – something along the line of Shamma Friedman’s system for visually marking tannaitic sources, amoraic statements, anonymous material, etc.  What would become clear, I believe, is that in both Fast’s work and the Talmudic sugya the achieved, sometimes vertiginous effect is intentional and should be read not as a straightforward historical-produced compound, but as a friction-producing poetic device. Put differently: The history of production is marginal. The real story is the art.

Stay tuned for the next two installments, first from Moulie Vidas and Sergey Dolgopolski, and then Christine Hayes’ response.

Standard
English, Recent Publications, Reviews

Right of Reply: Azzan Yadin-Israel Responds to Amit Gvaryahu’s review

My thanks to The Talmud Blog for inviting me to respond to Amit Gvaryahu’s review of Scripture and Tradition: Rabbi Akiva and the Triumph of Midrash. I find myself in the odd position of responding to a review that is generally positive and in certain passages very generous in its praise. Nonetheless, in what follows I will address some of the points Gvaryahu raises in his review, and, more importantly, those that he does not. (Due to space considerations, I have abbreviated some of the Sifra passages I cite).

In his introductory comments Gvaryahu praises me for engaging “refreshingly in textual scholarship” (his italics), so it is no surprise that most of his comments involve close readings of individual passages. Some of his comments merit, I think, response of one kind only: thank you. Gvaryahu is absolutely correct about the translation (read: my mistranslation) of halalim in §2.6, and he has also found a number of textual errata that I hope to have the opportunity to correct in a future revision. However, other of his comments leave me less convinced. Thus, I cite as §2.1 the opening gloss of a derashah:

“בוהק … טהור” מלמד שהבוהק טהור.

“a rash … is pure”—this teaches that a rash is pure.
Gvaryahu contends that we ought examine the entirety of the derashah, which “is parsing the verse, dividing it up into small units, each with its own meaning.” To this I would respond in two ways. First, the opening gloss should stand on its own merits, especially as it uses the term melammed to link the biblical terms to their conclusion, though it is not clear how the gloss does what it claims to do. As it stands, it extracts two words from the verse to create a brief phrase, then glosses with the identical phrase: read innocently, it is a tautology; read in light of the interpretive issues Gvaryahu raises (e.g., the ambiguous referent of the second הוא in the verse), it is a midrash that suppresses its own interpretive arguments, with the result a tautological gloss. Second, Gvaryahu’s elaboration of the full derashah merely rehearses the claims of the Sifra. Thus, Gvaryahu writes of “the two occurrences of הוא, which are read as limiting the purity of the rash to the rash itself and leprosy which protruded from it or which it might have touched”—all this from בהק הוא (“it is a rash”) and טהור הוא (“it is pure”). But why does the word הוא function in this manner; why does is limit these legal cases and not others, etc. This may be a cogent argument in Gvaryahu’s eyes, but I suspect we have simply grown accustomed to the Sifra’s (more accurately: the anonymous Sifra’s) hermeneutic caprice.Finally, I wonder what the force of Gvaryahu’s claim is. After all, §2.1 is followed by other examples:

  • 2.2 “Raven”—this refers to the raven. (Shemini pereq 5.4)
  • 2.3 “Large lizards”—these are the large lizards. (Shemini parashah 5.7)
  • 2.4 “… all living creatures that move in the water”—to introduce (lehaviʾ) the fish. (Shemini pereq 12.6)

The first two are literal restatements of the language of Scripture; the third a midrashic expansion that “introduces” the most self-evident conclusion—that “all living creatures that move in the water” includes fish. Setting §2.1 alongside these derashot lessens the burden placed on it (calling one derashah into question does not do invalidate the broader point), and also makes the “tautology” reading more compelling (it is one of several Sifra glosses that, literally or substantively, merely restate the language of the verse).

The same holds for Gvaryahu’s response to §2.6. While I, again, gratefully acknowledge his correction regarding halalim, the point of my analysis there is the odd structure of the Sifra’s reading of בני אהרן הכהנים: it first proposes a reading (yakhol) concerning בני אהרן as though הכהנים were not stated right there, and rejects it due to the presence of הכהנים; then proposes a reading concerning הכהנים but rejects it due to the presence of בני אהרן. Why raise a possibility excluded by הכהנים to begin with, when the word is modifying בני אהרן? And why repeat the procedure, artificially ignoring the presence of בני אהרן only to then draw the phrase back into the conversation as a foil to the proposed reading? Even if the Sifra is concerned with redundancy, why address it in such a convoluted manner?

But it is unlikely that the Sifra is concerned with redundancy at all, since §2.6 is not the only place this commentary “hides” one of the words in the verse only to “rediscover” it later (what I call a fort-da derashah):

  • 2.7 “… the anointed priest …”: “Anointed”—might this refer to the king? Scripture teaches, saying “priest.” (Hovah parashah 2.6)
  • 2.8 “And if anyone … hunts down an animal or a bird that may be eaten”: I know only regarding a bird that may be eaten, whence regarding an animal that may be eaten? Scripture teaches saying “an animal or a bird that may be eaten” (Ahare pereq 11.4)
  • 3.1 “The elders of the community …”: “The elders”—might this refer to elders of the marketplace? Scripture teaches, saying “the elders of the community.” (Hovah pereq 6.1)

Here too, the additional examples buttress the claim that §2.6 is a fort-da derashah, even as they lower stakes if any one derashah is excluded from this set.

There are other nits to be picked in the review (section D ignores the structural issues with Sifre Deuteronomy §357 and the cultural dependence of lectio dificilior as I argue in Chapter 7, and more), but my main concern is with what Gvaryahu does not touch on. As it stands, the review suggests that I am not convinced by certain Sifra arguments and so cast the work as engaged in ex post facto reconstructions. This omits, rather unfairly, the philological core of the book: the claim that there is a semantic incongruity in the hermeneutic terms of the Rabbi Ishmael midrashim and the named Rabbi Akiva sources, on the one hand, and the anonymous Sifra, on the other:

1. Perhaps the most dramatic shift is evident in the phrases ribbah ha-katuv and miʿet ha-katuv. In the Mekhilta to Exodus 12:45 we read: “Miʿet ha-katuv the time of eating [the paschal lamb] … But will you argue thus about the contribution offering concerning which ribbah ha-katuv the time of eating …?” (Pisha 15). If we bracket for a moment our familiarity with the dominant sense of these phrases in the Sifra, it is evident that the Mekhilta is contrasting the relatively narrow timeframe the Torah allots the consumption of the paschal offering and the relatively wide timeframe it allots the contribution offering. Here ribbah ha-katuv and miʿet ha-katuv, then, refer to the relative breadth and narrowness of biblical categories, respectively; they do not midrashically derive them. This sense is preserved in a number of Sifra derashot, as when we are told that “Scripture has multiplied copious commandments [ריבה הכתוב מצוות יתרות]” with regard to priests, but has not done so with regard to Israelites (§2.35, ʾEmor pereq 1.1-3). What this means is nothing more (and nothing less) than that the Torah contains many more commands concerning priests than non-priests—it is not a midrashic interpretation. In the anonymous Sifra more broadly, however, ribbah ha-katuv and miʿet ha-katuv indicate an interpretive move that introduces or excludes, respectively, legal elements not found in Scripture. That these formulas, the interpretive core of the anonymous Sifra, represent a subtle but profound revision of an established tannaitic usage, is very significant, but goes unnoted in the review. (Indeed, Gevryahu’s criticism that I do not recognize [in §4.18] that both Sifra Hovah 9.8 and Mishnah Shevuʿot 3.5 employ the phrase ribbui ha-katuv misses the point entirely: they do use the same phrase but it means something different.)

2. The yakhol and minayin derashot also undergo a dramatic shift. First, note that the proliferation of ribbui and miʾut in the now-standard sense (“to introduce,” “to exclude”) disrupts the hermeneutic system of the Sifra, since ribbui arguments are now pragmatically identical with minayin derashot, and miʿut arguments with yakhol derashot:

  • 3.9 “On the seventh day”: Might this mean (yakhol) either in the daytime or at night? Scripture teaches, saying “day”—not at night. (Metzoraʿ pereq 2.1)
  • 3.10 “On the first day”: In the day, not at night. (ʾEmor pereq 16.3)

The above derashot differ rhetorically—§3.9 is a yakhol … talmud lomar argument, while §3.10 a miʿut gloss—but are pragmatically identical: the word “day” precludes the broader reading that includes nighttime. Pragmatic redundancy is a strong indication that a “non-native” element has been introduced into the hermeneutic system.

More importantly, the yakhol and minayin derashot in the anonymous Sifra (broadly speaking—I note exceptions) differ from the Rabbi Ishmael midrashim and most named tannaitic derashot in that they conclude with the same verse that initiates the discussion. This is a deeply problematic issue: if verse X legitimately raises the possibility of interpretation P, how can the same verse then exclude P (“X” yakhol P … talmud lomar “X”)? Or, vice versa, if verse X excludes reading P, how can it be the verse that raises the possibility of that very reading? (Gvaryahu’s  suggestion that yakhol and minayin derashot establish the hermeneutic markedness of a term is incorrect: hermeneutic markedness precedes and legitimizes derashot; where it is employed, it is a condition of legitimate interpretation not a conclusion).

3. Mikan ʾamru: in the Rabbi Ishmael midrashim, the phrase generally refers to derashot whose conclusion is explicitly identified by the Mishnah as a derashah, or can plausibly be construed as one. In the Sifra, mikan ʾamru often claims midrashic basis for teachings that the Mishnah characterizes as non-midrashic (testimony, “they said,” etc.).

I cannot, of course, go into detail here. However, it is important to introduce these arguments because they are the philological core of Scripture and Tradition’s first section, and, moreover, because they speak directly to some of the issues Geveryahu raises in his review. To wit, my claim that the (anonymous) Sifra reworks extra-scriptural halakhot into a midrashic form is supported by a series of arguments regarding the interpretive techniques of this collection. It is not a sense of aporia that leads me to adopt this conclusion, but rather a positive, philological thesis concerning the workings of the Sifra. Like all critical scholarship, my thesis is subject to debate and criticism (“Let the conversation begin”), but for that to happen the review needs, at a minimum, to present the book’s thesis.

The same problem attends the review’s treatment of Scripture and Tradition’s concluding chapters. The argument, in brief, is that rabbinic scholarship has failed to offer a satisfactory account of the relationship between midrash and halakhot because it has consistently sought diachronic models, when a synchronic one is more appropriate to the sources. I cannot go into a detailed justification of this thesis, nor of its ramifications, but at least as far as my intent is concerned (Nota bene: everyone is a skeptic about authorial intent until it comes to their book…), it was not offer “somewhat of a postscript.”

It is evident that Amit Gvaryahu has read Scripture and Tradition with care and has offered me some important correctives and points of consideration. Any scholar worth his salt wants readers of this sort. My sense that some of the book’s core arguments were not properly represented in the review, does not diminish my gratitude to Amit for his engagement of my book, and to The Talmud Blog for affording me the opportunity to respond.

Standard
English, Reviews

E. Baumgarten, Practicing Piety in Medieval Ashkenaz – Reviewed by D. Shyovitz

Elisheva Baumgarten, Practicing Piety in Medieval Ashkenaz: Men, Women, and Everyday Religious Observance (Philadelphia: University of Pennsylvania Press, 2014) – Reviewed by David Shyovitz.

[To download the review as a pdf click here.]

Writing history on the basis of medieval halakhic sources is a notoriously tricky enterprise.  Not only are the relevant source materials inherently difficult—suffused with technical terminology, complex, often terse exposition, and assumed prior knowledge—it is extremely challenging to escape from the orbit of the sources themselves, and to draw firm conclusions as to how they reflect or intersect with the lived reality of historical actors.  Exegetical tracts (such as Talmudic commentaries and super-commentaries), for example, tend to confine their analysis to the particular texts under consideration—it is not easy to utilize the narrow explication of a particular phrase or argument in the Talmud as a means of recovering broader data about the particular historical moment in which it was generated.  Halakhic codes, as prescriptive texts, by definition tell us more about rabbinic ideals than they do about communal and individual practices.  And responsa, ostensibly the genre most transparently reflective of historical reality, have oftentimes undergone redactional and editorial processes so extensive that it is impossible to recover the historical “facts” that underlie the surviving documents.

For scholars of medieval Ashkenaz, efforts to present a descriptive, rather than prescriptive account of lived religious reality have been particularly fraught.  Long entrenched assumptions concerning the “talmudocentrism” or “halakhocentrism” of medieval Ashkenazic rabbinic culture has privileged elite legal sources, and obscured the non-elites who had no facility with—and perhaps no interest in—the dictates of halakhic texts.  As a result, medieval Ashkenazic contributions to “the history of halakhah” have often been limited to precisely that—the historical analysis of (abstract, elite) halakhah itself, rather than an attempt to write a broader history that utilizes halakhic texts without accepting their own claims to normativity and authoritativeness.

In her new book Practicing Piety in Medieval Ashkenaz: Men, Women, and Everyday Religious Observance, Elisheva Baumgarten seeks to escape from this interpretive morass, and models a new approach toward using halakhic texts for historical ends.  She mines halakhic sources composed in medieval Ashkenaz (between roughly 1096 and 1348) for the evidence they reveal concerning “pious practices”—the concrete actions and observances that were important and accessible to both rabbinic elites and the laity, men and women, members of the upper and lower classes.  By focusing on practice rather than theory, Baumgarten seeks to transcend the prescriptive nature of halakhic sources, and to bridge the gap between halakhic and other (narrative, moralistic, polemical) sources.  Rather than treat halakhah as an insular and independent construct, she seeks to reconstruct what halakhic texts reveal about the religious values and commitments of Jews who left no independent records of their lives and experiences.  What she recovers, in short, is a Jewish “lay piety,” akin to (and as we shall see, bound up in) the lay piety and popular devotion that has been the subject of much recent attention among scholars of medieval Christianity.

Practicing Piety is in many ways a path-breaking book: conceptually sophisticated, methodologically complex, the product of prodigious research and nuanced, creative readings of often familiar (and sometimes over-familiar) texts.  Its argument is for the most part extremely persuasive.  To be sure, all important books give rise to as many questions as they answer, and Baumgarten’s book is no exception—particularly because it intersects with varied overlapping fields: the history of halakhah, gender studies, Jewish-Christian relations, and others.  In what follows, I shall lay out some (by no means all) of Baumgarten’s major claims, raise some questions concerning her findings, and point to some avenues of future research that her stimulating book opens up.

Practicing Piety’s introductory chapter guides the reader through the multiple interpretive axes on which the study turns.  In order to reconstruct the piety of non-elites—the laity—and not merely the rabbinic scholars who produced the sources that have survived, Baumgarten reads those sources with an eye toward their gendered dynamics, and with comparative attention to the contemporary, predominantly Christian setting in which they were composed.  Her attention to gender serves not merely to highlight the heretofore obscured experiences of women (an approach modeled virtuosically in her earlier Mothers and Children).  Rather, by comparing the practices of men and women, Baumgarten seeks both to uncover the experiences of non-elites (since women can be said to reflect the sectors of society who were outside the rabbinic elite) as well as to locate moments of particular social conflict, since “conflicts regarding identity and institutional control are often imposed on and reflected by women” (2).  At the same time that she is attentive to the differences and overlaps between men and women, Baumgarten is constantly aware of the Christian setting within which Jews lived and practiced.  She harnesses the abundant recent scholarship on Christian “lay piety” as a means of both understanding currents within Jewish communities, as well as identifying the sources and resonances of changing Jewish practices within their socio-cultural context.  Finally, Baumgarten constantly toggles between the public and private spheres; her analysis reveals that ostensibly private acts of devotion and spirituality tended to manifest themselves publicly, and to play a role in constituting the shared ideals and identity of the community as a whole.

The main body of the book applies these overlapping lenses to six case studies.  Chapters One, Two, and Three focus on presence in the synagogue, fasting, and charity—all quotidian elements of Jewish life, and yet spheres of religious experience that underwent significant shifts over the course of the Middle Ages.  In Chapter One, Baumgarten focuses on the custom, first attested in the sifrut de-bei Rashi, of women absenting themselves from the synagogue while menstruating.  The sources that detail this practice have been subject to extensive historical analysis, mainly by scholars interested in the history of halakhah and minhag—in tracing the textual attestations of this practice, many scholars have assumed that the custom reflects new awareness of existing Palestinian texts like the Beraita de-Nidah.  Baumgarten finds such textual genealogies unconvincing, and argues that the original impetus for abstention from synagogue services came from pious women themselves.  But what began as an optional pious practice was soon normalized by rabbinic decisors, rendering it “a justification for the marginalization of women in the synagogue” (48).  Here, her comparative attention to both male and female piety bears fruit—as she shows, the newfound preoccupation with female menstrual impurity was not accompanied by concern with male impurity due to seminal emissions (keri); on the contrary, men generally attended synagogue regardless of their purity status.  Baumgarten seeks to anchor the custom in high medieval anxieties—among Jews and Christians alike—over impurity and access to sacred spaces.  Christian thinkers had debated the issue of menstruating women attending mass and taking communion since the early Middle Ages, and while the high Middle Ages saw more concern over (male) clerical purity than over menstrual purity, “the resonance between the discourses conducted by these two sets of religious leaders is significant” (41).   Indeed, Christians were deemphasizing menstrual purity at precisely the same moment that Jewish leaders were elevating nidah observance as a covenantal sign, “the defining symbol of the Jewish people and Jewish women’s covenant with God” (47).  Jews and Christians were likely aware of one another’s purity practices, an awareness that manifested itself in this “competitive piety.”

This doubly-comparative methodology, with attention to both gendered and interreligious relations, also informs the discussion of fasting in Chapter Two.  Just as the ostensibly private observance of nidah regulations had public, communal implications, so too fasting became an increasingly ubiquitous, and visible, element of the pious landscape in medieval Ashkenaz, where older fasts that had been minimized by the Geonim were revived, and where fasting became increasingly associated with penitence.  The rise of fasting paralleled the simultaneous growth of fasting in Christian lay piety, and had gendered implications as well—Jews and Christians alike subordinated pious practice to a “common gendered ideology,” which assumed that women’s role as caregivers, and even their biological workings, limited the options for pious expression available to them.  The fact that fasting occupied a prominent place in Christian penitence helps us to understand the development of Jewish penitential fasting—although both faiths anchored their practices in ancient texts and traditions, they harnessed those sources in the service of “complex structures of repentance whose theoretical and ritual overlap is too extensive to be coincidental” (101).

Chapter Three continues in the same vein, but utilizes a unique surviving source, the Nürnberg Memorbuch, in an attempt to delve more deeply into the particular social and economic settings in which pious practices were expressed.  The Memorbuch preserves the liturgy Ashkenazic Jews recited for donors pro anima—those who contributed to communal institutions on behalf of their souls—and lists the names of donors and amounts of their donations over the course of several centuries.  Baumgarten’s statistical analysis of this surviving data is a revelation—she tracks the amounts donated by men and women, the various currencies utilized by members of different socio-economic classes, the ends for which contributions were utilized, and the ways in which external events, from the inauguration of a new synagogue to the Rindfleisch and Black Death attacks on the community, impacted upon charitable norms and practices.  The upshot of this analysis is a growing, and increasingly universal desire “to commemorate each and every soul” (128)—regardless of gender and class.  The popularity of pro anima almsgiving drew on the late antique tradition of redemptive almsgiving (that Alyssa Gray and others have reconstructed), but was also spurred by Christian charitable norms.  Indeed, the very literary structure and communal function of the Memorbuch as a physical artifact represented a Jewish response to the martyrologies and necrologies in use among Christians: “another case in which Jewish culture appropriated elements from the Christian majority while tailoring them to harmonize with the Jewish frameworks of practice and belief” (115).

The juxtaposition of ostensibly familiar Jewish sources alongside elements of Christian lay piety is most productively utilized in Chapter Four, which deals with the question of women’s performance of positive time bound commandments (mitsvot aseh sheha-zman grama).  Ashkenazic decisors by and large allowed women to perform, and recite benedictions upon, commandments that were obligatory on men alone, such as hearing the shofar and shaking the arba minim.  When it came to tsitsit and tefillin, however, early allowances gave way to increasing restrictions over the course of the Middle Ages, as women were discouraged and then prohibited from wearing and making tsitsit and tefillin.  This is a familiar story to scholars of medieval Ashkenaz, and the sources that describe the process have been well trod.  But the originality of Baumgarten’s approach is her juxtaposition of this data alongside the sources indicating that men in the high Middle Ages by and large did not perform the commandments of tsitsit and tefillin.  Only as the Middle Ages progressed did a self-conscious campaign of top-down encouragement lead more and more men to adopt these practices.  The comparison of men’s and women’s experiences, then, reveals that the limitations on women’s pious expression were coterminous with the encouragement of men to perform previously neglected commandments.  The turning point in this process was the thirteenth century, a period in which we find critiques of women’s “arrogance” in a wide array of halakhic and moralistic sources.  The desire to limit women’s options for independent religious expression led to varied articulations of the core differences between men and women: men could keep their bodies clean (or “pure”) long enough to wear tefillin while women were incapable of bodily purity; women were akin to “deficient men,” since, like blind men, they were exempt from certain commandments; or, as Maharil categorically put it based on a Talmudic precedent, women are “a people unto themselves” (164).  The exaggeration of gender differences, and concomitant attempt to limit women’s options, mirrors precisely developments underway in thirteenth century Christendom, which saw the repression of the Beguines, the rise in accusations of female heresy, and so on.  “The sanctions and suspicions of the Christian hierarchy differed little from the rabbi’s concerns…the reactions led by these male authorities to women’s more active agency in religious life are remarkably similar” (170).  The inclusion of both men’s and women’s experiences, and the contextualization of Jewish concerns within their Christian surroundings, thus leads to a fresh take on a long-debated episode in the history of halakhah.

Chapter Five, which explores the ways in which piety would have been publicly visible in medieval urban settings, contains surveys of the hairstyles, garments, and fashions of Jew and Christians.  This chapter is, to my mind, the least compelling in the book.  Some of the sources contained here will be familiar to scholars of medieval Ashkenaz, but Baumgarten’s approach is less successful in recontextualizing the material than elsewhere in the book.  A number of her specific claims are original and provocative—e.g., the notion that Jewish tailoring practices would have subtly distinguished Jews’ garments from ostensibly identical Christian ones, an “internal code of sorts” (189) that made Jewish fashions simultaneously identical to and distinct from those of their neighbors.  But this argument is based on scanty (and chronologically late) evidence.  Moreover, much of her discussion in this chapter deals with prescriptive sources (e.g. halakhic discussions of the laws of shaatnez) which seem to reflect more the desires of rabbinic elites than the implemented practices of pious laypeople.

Chapter Six, however, fascinatingly extends Baumgarten’s approach from halakhic sources to narrative ones.  In a compelling analysis, she shows that “tales of pious pretenders”—rabbinic narratives in which ostensibly pious actions are discovered to be fraudulent and hypocritical—were retold and reinterpreted by medieval Ashkenazic authors in ways that accentuated female hypocrisy while eliminating that of men.  That is, the male “pious pretenders” in rabbinic literature were rehabilitated by storytellers at precisely the moment when ostensibly sincere female characters were deemed devious and duplicitous.  Again, this development tracks on to currents in contemporary elite Christian conceptions of lay piety—male religiosity was lionized as female piety was increasingly subject to surveillance and control, assumed to be fraudulent and self-interested rather than sincere and well-intentioned.

Chapter Seven concludes the book by drawing together the multiple threads of the argument—threads that Baumgarten elsewhere describes as making up “a bricolage” (87), or “a tapestry” (42).  Indeed, a tapestry is an apt analogy for the overall argument of the book.  In its large contours, the notion that Jewish piety ought to be approached via pious practices and with attention to the lay men and women who comprised the majorities within Jewish communities is compelling, and the overall picture that emerges is highly convincing.  But a close inspection of the reverse side of the tapestry, where the actual work of drawing linkages takes place, reveals a more complex and complicated picture—particularly when it comes to anchoring Jewish lay piety in its broader surrounding context.  To be sure, the scanty surviving documents from medieval Ashkenaz inevitably preclude clear and unidirectional conclusions regarding causality, and if the book leaves certain details regarding transmission and interreligious interaction unclear, it is nonetheless to the author’s credit that there are no simplistic overgeneralizations in the book, no attempts to quash the messy realities of daily life and religious beliefs into overly rigid categories or frameworks.

To begin with, the most pressing challenge to reconstructing the pious practices of the laity is one of sources.  Medieval Christian culture left behind myriad documents—written by, for, and about the laity—that historians have utilized in order to get beyond the normative and prescriptive image that emerges from top-down pronouncements.  The available Jewish source materials are far slimmer.  Thus, although Baumgarten “[takes] the vantage point of those who performed rituals rather than those who penned their descriptions and prescriptions” (216), it is those very descriptive and prescriptive texts that comprise the primary source base for her study.  Baumgarten is well aware of this methodological challenge, but never provides an explicit articulation of the method she utilizes to tease out real practices and values from the prescriptive sources in which they are reflected.  Occasionally, this leads to slippage between elite texts and the lay reality that they are assumed to describe—as when it is assumed that “increased adherence to these pious practices (tsitsit, tefillin, and shaatnez) coincided with greater attention to them in the writings of the rabbis who promoted heightened religious observance” (193).  When the sources that attest to the “increased adherence” are themselves “the writings of the rabbis,” how can we be certain that this coincidence of text and practice was not, on the contrary, a rabbinic conceit, an exclusively elite, literary development disconnected from the interests and actions of everyday Jews?

A similar complexity is manifested in Practicing Piety’s approach to Jewish-Christian relations.  Baumgarten’s illustrations of similarities between developments in Jewish and Christian piety are on the whole quite convincing—the “theoretical and ritual overlap” in the ideals, anxieties, and practices she charts are, as she puts it, “too extensive to be coincidental” (101).  But how to account for that overlap is not always clear, or at least consistent, throughout the book.  Her overall claim, as expressed in the context of Chapter Five, seems to be that “Jews wore distinctive clothing and they dressed like their neighbors” (275 n. 20): that is, that their similarities were, paradoxically, simultaneously constitutive of distinctiveness.  At times, such similarities between Jewish and Christian practices are taken to indicate a kind of bi-directional awareness and polemically inflected “competitive piety” (8 and passim)—as in the suggestion in Chapter One that Christian de-emphasis of menstrual impurity was dialectically related to Jewish privileging of nidah as the covenantal sign of Jewish fidelity.  Baumgarten recurrently gestures to Ivan Marcus’s theory of “inward acculturation,” and argues that Jews and Christians “harnessed shared rituals to express religious difference” (99).  Such commonalities in ideals and practices can thus be “simultaneously read as [appropriations] of Christian practice and as [polemics] against it” (112).  But at other points, Baumgarten limits herself to the more general observation that “the medieval Christian environment provides essential data for understanding the development of Jewish customs and ideas” (22)—that is to say, that the Christian atmosphere helps us understand Jewish developments, but was not necessarily the cause of them.  In this view, “awareness of Christian conduct is not synonymous with appropriation of its ideology or practices” (87, emphasis added), and Jewish and Christian pious practices might not have responded to one another so much as sprung from the same contextual environment, or “common ‘ritual instinct’” (44).  It would have been helpful to distinguish these two approaches from one another more carefully, especially since the polemical valences of the “appropriation” approach occasionally come across as strained.  To take just one example, in Chapter Three the similarities between the Jewish Memorbuch and Christian martyrologies and necrologies are understood to reflect not just “shared ritual instinct,” but conscious polemical appropriation.  The liturgical use of such necrologies during the Mass is thus juxtaposed with “the decision to remember the dead and their donations between the Torah and the Musaf services–with Musaf connoting sacrifice in the ancient Temple,” and read as polemically intended, as “an expression of the inward acculturation that typified medieval Jewish life” (112).  One could question whether “polemics” (micro-polemics?) of this sort were really intended or perceived as such, or whether the choice of placement of memorial rites simply obeyed the internal logic of the Jewish liturgy, in which the junction of Torah reading and Musaf was a moment when interruptions to the standard service were licit.

The ambiguity in terms of precisely how Jewish and Christian currents intersected with one another is mirrored in a certain vagueness concerning the precise factors that led to change over time.  Time and again, Baumgarten convincingly demonstrates that developments in Jewish piety—as practiced by lay Jews and as regulated by elite rabbis—mirrored developments in Christian Europe.  But a huge body of scholarship has sought to account for why Christian piety (and especially female piety) shifted and became increasingly regulated over the course of the High Middle Ages.  Much of that scholarship is referenced in Practicing Piety, but it is not wholly clear how those broader causal developments impacted upon the shifts in Jewish practice.  Put differently, did Jewish piety undergo changes over the course of the Middle Ages because Christian piety did, or were certain external factors impinging upon both religious communities, living as they did in the same cultural ambit?  And if the latter was the case, what were those external factors?  Baumgarten convincingly shows that change was afoot in the high Middle Ages, but the reader is not always certain as to why.

Baumgarten’s stimulating book thus spurs its readers to consider the extent to which Jewish piety adapted, competed with, or was indistinguishable from Christian piety—and further research by scholars of medieval Ashkenaz will no doubt engage with and extend the arguments that are so productively introduced here.  Indeed, Practicing Piety opens up numerous such avenues of future research.  To highlight just one, the very category of “lay piety,” as applied to the Jews of medieval Europe, demands that scholars revisit entrenched assumptions concerning rabbinic leadership and social structures within Jewish communities.  In medieval Christian culture, “the laity” could be contrasted with “the religious”—the priests, monks, and clerics who occupied (at least in theory) a defined and circumscribed position within society.  When, in the high Middle Ages, Beguines, tertiary Franciscans, “heretics,” and others challenged the boundaries between the religious and the laity, they were responding to real, deeply embedded socio-religious structures.  But is it safe to assume that the lines between Christian clerics and the laity tracked onto those separating the rabbis from other members of the community?  How could we determine whether the medieval Ashkenazic rabbinic elite comprised a socially and politically distinct “religious class,” with which a “laity” can be contrasted?  Practicing Piety models a way to combine moralistic and narrative sources with halakhic ones, and to use them to sharpen and deepen our notions of how social structures within Jewish communities impacted upon religious observance.

By productively, and provocatively, challenging the entrenched “top-down” model of medieval Jewish piety, Practicing Piety sheds new light upon the social, gendered, and interreligious dynamics of Ashkenazic religious practices.  Scholars of medieval halakhah, spirituality, and Jewish-Christian relations will find it to be an indispensable resource in their continued exploration of the complex, messy, and immensely fruitful religious culture of medieval Ashkenaz.

David Shyovitz is Assistant Professor of Medieval Jewish History at Northwestern University, and is presently a Yad Hanadiv Visiting Fellow in Jewish Studies at the Hebrew University in Jerusalem.

Standard
Dissertations, English

Dissertations and Thesis, 2014

With another December upon us and another calendar year almost through, as usual we have put together a list of recent dissertations with relevance for Talmud. It is always nice to see projects that we have followed over the years come to fruition, and even offer promise of further interesting research in years ahead. Should auld acquaintance be forgot and never brought to mind, please do drop us a line and we will be happy to add dissertations and theses that we missed. And to all the recent graduates: we’ll tak’ a right gude-willie waught, for auld lang syne.

PhD

Mika Ahuvia, Israel Among the Angels—Angels and Authority in Late Antique Jewish Texts, Princeton University, 2014.

This dissertation examines how Jews conceptualized angels in rabbinic, liturgical, ritual, and early mystical sources from the fourth through the eighth century C.E. in Palestine and Babylonia. While some rabbinic traditions uphold the angels as messengers of God, others were more ambivalent toward them, discouraging attention to angels and privileging the close relationship between Israel and God instead. Chapter two centers on the liturgical works of the sixth century poet Yannai and his synthesis of diverse Jewish traditions about angels in his liturgical texts. This chapter contextualizes Yannai’s encouragement of his audience to think of themselves as praying with the angels, and examines how Yannai singles out certain authorities within the synagogue for comparison with the angels. Chapter three highlights the variety of ways in which Jews invoked angels and other authorities for assistance in so-called “magical” or ritual bowls, amulets, and manuals from Babylonia and Palestine. Ritual texts in particular show that named and unnamed angels were part of a spectrum of authority figures to which ancient Jews appealed in their times of need. Alongside angels, Jews turned to ritual practitioners, folk heroes, and rabbis for guidance and intercession with God. Chapter four investigates the early mystical treatise Hekhalot Rabbati, which captures the worldview of those Jews most preoccupied with angels. Jewish mystics strove to live in synchronicity with the angels, to achieve angelic status, and even to command the angels. As each chapter demonstrates, no systematic angelology predominated among Jews in late antiquity. Rather, different circles of Jews upheld different traditions about angels. Ancient Jewish texts on angels reveal a diverse and dynamic society, where many mediating figures bridged the gap between Israel and God and served a variety of functions for individuals and communities.

Ari Bergmann, “Halevy, Halivni and the Oral Formation of the Babylonian Talmud,” Columbia University, 2014.

This dissertation is dedicated to a detailed analysis and comparison of the theories on the process of the formation of the Babylonian Talmud by Yitzhak Isaac Halevy and David Weiss Halivni. These two scholars exhibited a similar mastery of the talmudic corpus and were able to combine the roles of historian and literary critic to provide a full construct of the formation of the Bavli with supporting internal evidence to support their claims. However, their historical construct and findings are diametrically opposed.

Yitzhak Isaac Halevy presented a comprehensive theory of the process of the formation of the Talmud in his magnum opus Dorot Harishonim. The scope of his work was unprecedented and his construct on the formation of the Talmud encompassed the entire process of the formation of the Bavli, from the Amoraim in the 4th century to the end of the saboraic era (which he argued closed in the end of the 6th century). Halevy was the ultimate guardian of tradition and argued that the process of the formation of the Bavli took place entirely within the amoraic academy by a highly structured and coordinated process and was sealed by an international rabbinical assembly. While Halevy was primarily a historian, David Weiss Halivni is primarily a talmudist and commentator on the Talmud itself. Halivni offers his bold construct of the history of the formation of the Bavli in the context of his commentary Meqorot Umesorot, which spans almost the entire Babylonian Talmud. Halivni explains the process of the formation of the Bavli as taking place well after amoraic times in a massive unstructured process of reconstruction. This dissertation will demonstrate that both of the theories of Halevy and Halivni are in need of careful analysis and revision. Halevy’s construct despite providing valuable scholarly insights is tainted by a strong ideological agenda. On the other hand, Halivni, as a literary critic, provides insightful literary analysis and his conclusions on the uniqueness of the stam have been firmly established in contemporary scholarship. However, when analyzing Halivni’s theory one must distinguish between his literary conclusions and his historical construct. The later is a constantly evolving theory, and it has presented numerous problems as it has developed over time, mainly in the introductions to Meqorot Umesorot.

The body of this dissertation consists of three chapters, each focusing on a different model for the formation of the Bavli. Chapter One focuses on Halevy, beginning with his biography and continuing with an in-depth analysis of the scope and purpose of his Dorot Harishonim and the ideological import of his research. The second chapter addresses the theory of Halivni on the formation of the Bavli. After a biographical sketch of Halivni’s life, I review the scope and purpose of Meqorot Umesorot with a special emphasis on his scholarship ki’peshuto, followed by a detailed analysis of his model and the evidence he offers in support of it. The third chapter proposes an alternative model for the formation of the Talmud which combines aspects of Halevy’s and Halivni’s theories. I propose a model that includes a fixed oral text, accompanied by an oral fluid commentary. This dual form of transmission accounts for the diverse structure and style of the apodictic material and the dialectical interpretative argumentation of the stam. The fixed apodictic text, the proto-Talmud follows the basic contour of Halevy’s model, while the understanding of the stam follows many aspects of Halivni’s description of the reconstruction of the dialectical argumentation by the Stammaim. By applying form criticism to determine the Sitz im Leben of talmudic transmission and teaching, combined with recent scholarship on the various forms of oral transmission, I propose a framework which allows for a developmental model which integrates the perceptive historical insights of Halevy with Halivni’s literary findings.

Amy Birkan, “The Limited Scope of Victimhood in Rabbinic Law: ‘The Plaintiff Must Distance Himself from Harm,”  The Hebrew University of Jerusalem, 2014.

A fundamental precept in Rabbinic law is that greater responsibility falls on the plaintiff to avert her harm than on the defendant not to cause it. This work is comprised of six chapters each of which presents a different facet of plaintiff-responsibility. The first chapter, dealing with Tort,
exposes the substantive responsibility legislation places on the plaintiff to be vigilant in the public sector in order to avoid obstacles created by the tortfeasor. The second chapter analyzes the Rabbinic approach to psycho-emotional harm, which centers on the notion that the דעת בר is the exclusive master of her mind and is therefore singularly responsible for any damage generated therein. The third chapter looks at the scope of the responsibility placed on the plaintiff to be self-determining by examining rulings in cases of enticement. Here legislation is required to choose whether or not an agent is accountable for breaking law when she does so as a result of the defendant’s influence. The forms of enticement dealt with include bribery, authoritative coercion, and seduction. The fourth chapter looks at the same concept, an agent’s responsibility to be self-determining, but through the category Acts Done under Provocation. The rulings for these cases are used to demonstrate the extent to which legislation requires the plaintiff to select a response to the defendant’s inciting act. It also examines whether or not legislation ever considers provocation a valid excuse for a harmful reaction it triggers. The rulings for this class of cases have strong implications on legislation’s notion of involuntary acts. The fifth chapter examines plaintiff-responsibility in the context of capital crime. It is shown that the factor of whether or not the plaintiff could have evaded lethal conditions created by the defendant is critical for determining the latter’s culpability. The material also presents the Bavli’s extension of the doctrine that foremost responsibility falls on the plaintiff to save her life to a legal imperative for the plaintiff to heal herself following the defendant’s attack. The sixth chapter looks at a policy created in the Bavli in the branch of נזקי the plaintiff must distance himself from’) על הניזק להרחיק את עצמו מן הנזק termed שכנים harm’). In place of requiring the tortfeasor to desist from common activities on her land that generate harm to the plaintiff’s property, the Bavli requires the plaintiff at all times to take measures to avoid the harm. The broad picture that emerges through the legalities addressed
in this work is that Rabbinic legislation accentuates the plaintiff’s responsibility to actively ensure her wellbeing through vigilance and self-determination.

Aaron Glaim, “Reciprocity, Sacrifice and Salvation in Judean Religion at the Turn of the Era,” Brown University, 2014.

Joshua Gutoff, “Talmud Study and the Development of the Moral Imagination: A Theoretical Framework,” The Jewish Theological Seminary of America, 2013.

This dissertation in Talmud pedagogy presents an approach designed to help nurture the moral imagination of students. Influenced by the work of literary scholars such as Wayne C. Booth and Martha Nussbaum, and Talmudists including David Kraemer, Daniel Boyarin, and Marjorie Lehman, this work is based on the hypothesis that particular reading strategies can help develop both empathy and a creative ethical vision, and that the nature of Talmud makes it particularly useful for such an approach.

Following Bakhtin, three levels of Talmudic discourse are identified: one concerned with a teaching addressed to an audience; one in which two or more characters interact directly; and one in which the redactor brings various texts and voices into conversation with each other. These levels are mapped against the kinds of moral concerns each presents, and then examined individually.

I first address how students might read normative statements of law, ethics, or theology in such a way that the reading itself contributes to their moral development, independent of the wisdom or utility of the specific teachings. I identify the different imaginative skills demanded by such a reading and their moral significance, and illustrate ways in which teachers who are focusing on the propositional content of the Talmud can make the achievement of their curricular goals an opportunity for practicing those skills.

Turning to interactions between characters or voices, I discuss how, by attending to the nuances of the language and behavior between the characters, students can arrive at ethically compelling readings of passages without committing to either the reality of the events described or the righteousness of any of the characters.

Lastly, I look at teaching that highlights the activity of the Stam , the anonymous redactor of the Talmud. I demonstrate that the student’s awareness of the Stam ‘s creative work can lead to an understanding of theStam as an independent moral agent, and then to an exploration of meaning and import of his choices.

In the concluding chapter I discuss some the implications of this dissertation, both for education, and for the role Talmud plays in broader Jewish culture, and close by reflecting on the relationship between the imagination and play in regard to religion and religious texts.

Margaret Jacobi, “Literary Construction in the Babylonian Talmud: A Case Study from Perek Helek,” University of Birmingham, 2014.

Perek Helek, the last chapter of Tractate Sanhedrin in the Babylonian Talmud (BT), is unusual in consisting almost entirely of aggadah (non-legal material). The present study is a source and literary analysis of six units (sugyot) from the chapter, which are almost continuous over ten pages of Talmud.

The sugyot relate to specific groups and individuals who, according to the Mishnah, are denied a place in the World to Come. They cover subjects in the books of Genesis, Numbers and Samuel.

Comparisons with the Tosefta, Palestinian Talmud and midrashim suggest that the BT is less concerned with the World to Come than Palestinian sources are. Rather, it focuses on the wrong-doing of the groups and individuals and issues of justice and authority. The BT also includes vivid stories which appear to be Babylonian in origin and are often self-mocking.

My findings also suggest that the sugyot based on passages in a given biblical book (Genesis or Numbers) have more elements in common than sugyot based on the same mishnah but derived from a different biblical book. In conclusion I discuss the possible implications of my findings for the more general question of how the chapter was edited.

Ayelet Libson, “Radical Subjectivity: Law and Self-Knowledge in the Babylonian Talmud,” New York University, 2014.

This dissertation examines the emergence of self-knowledge as a determining legal consideration among the rabbis of late antiquity, from the second to the seventh centuries C.E. Based on close readings of rabbinic texts from Palestine and Babylonia, the dissertation analyzes the central legal role accorded to individuals’ knowledge of their bodies and mental states in areas of law such as menstrual purity laws, family law and the laws of the Sabbath.

Legal systems generally aim to structure their statutes in a form as objective as possible, in an attempt to transcend the personal viewpoints of the parties involved. One way in which law treats people objectively is by regulating behavior; it does not seek to coerce feelings or attitudes, and it does not investigate feelings or attitudes unless wrongful behavior has been previously established. While the rule of law is usually upheld by focusing on external, objective standards, I highlight a unique phenomenon which develops in the Babylonian Talmud, in which legal decision making is based on personal knowledge, experience and intuition–which are by definition subjective. Although rabbinic culture is highly legalistic, I demonstrate that the later rabbis were themselves concerned with the reaches of their own legal authority, and therefore carved out an unexpected space for the experience of individuals, not only as an extra-legal factor, but as constituting law itself. I argue that the ancient rabbis came to recognize that certain kinds of knowledge–especially knowledge of the body–could only be mediated through an individual’s own experience, thereby allowing for an unprecedented degree of personal autonomy.

Scholars have demonstrated that the period of late antiquity saw the emergence of a sophisticated conception of the inner self. I locate talmudic discourse within this culture, and demonstrate how the rabbis incorporated the innovative notions of selfhood and an inner world specifically into the legal realm. The dissertation combines philological-historical investigation with the tools of legal and philosophical analysis to produce a study which contributes to a better understanding of talmudic law and ethics. The fruits of this inquiry will be of interest not only to scholars of ancient law, but also to those considering questions of jurisprudence, gender, and the nature of the self.

John Mandsager, “To Stake a Claim: The Making of Rabbinic Agricultural Spaces in the Roman Countryside,” Stanford University, 2014.

This dissertation argues that the prescriptions for Jewish practice and the boundaries of Jewish space in the Late Antique countryside may be considered a call by the rabbis for the transformation of a landscape filled with many different neighbors, from non-rabbinic Jews to Roman conquerors. The rabbinic sources set forth the vision for an idealized Jewish landscape filled with rabbinic Jews who manage their estates in accordance with God’s will. In modern scholarship, agricultural rituals and spaces in the Mishnah and the Tosefta are often set aside in favor of consideration of urban life and society. By interrogating the importance of these spaces and their rituals, this dissertation shows that the authors of Jewish literature adopt Roman ideals of rural life but subvert those ideals to impose a specifically Jewish vernacular upon the landscape. The commitment to Biblical laws of agriculture, even in light of profound changes to the landscape wrought by Roman imperial domination, serves to challenge that domination through the assertion of distinctly Jewish agricultural spaces. In this dissertation, the halakhic reasoning and argumentation found in early rabbinic literature is analyzed through textual, literary, and spatial analysis to reveal the cultural and spatial ideals of the creators of these texts. These legal texts describe a world filled with outsiders, from Roman conquerors to Jews with different interpretations of scripture and practice: the laws of Jewish farming serve to differentiate normative Jewish practice and social structures from those others. It is the spatial aspect of agricultural life, from its fences to its regimented rows of crops that serve to physically and visually mark a Jewish space as distinct. This dissertation offers tools for spatial analysis of legal texts in rabbinic Judaism specifically and imperial spaces more broadly.

Elana Stein-Hein, “Rabbinic Legal Loopholes: Formalism, Equity and Subjectivity,Columbia University, 2014.

Rabbinic law is particularly well known for its use of legal dodges and technical circumventions. This dissertation focuses on three main questions about such loopholes: 1) Why is rabbinic law so replete with them? 2) Are they always permitted, and if not, what are the parameters of their use? 3) What does the use of legal loopholes reveal about rabbinic views of the relationship between intention and action? We attempt to answer these questions by analyzing a particular subset of rabbinic legal loopholes known as ha‘arama (cunning). Tracing the history and use of ha‘arama from tannaitic to amoraic sources, this work places rabbinic legal loopholes in context of Biblical and Ancient Near Eastern worldviews, Greco-Roman perspectives, and later contemporaneous Zoroastrian approaches. Working with both tannaitic and amoraic materials, with Palestinian and Babylonian sources, we observe a progression within rabbinic thinking on this front: from rigid legal formalism to a concern for the inner spirit of the law, and from emphasis on the inner spirit of the law to an interest in the inner spirit of the individual legal agent.

Mira Wasserman, “The Humanity of the Talmud: Reading for Ethics in Bavli Avoda Zara,” University of California, Berkeley, 2014.

In this dissertation, I argue that there is an ethical dimension to the Babylonian Talmud, and that literary analysis is the approach best suited to uncover it. Paying special attention to the discursive forms of the Talmud, I show how juxtapositions of narrative and legal dialectics cooperate in generating the Talmud’s distinctive ethics, which I characterize as an attentiveness to the “exceptional particulars” of life.

To demonstrate the features and rewards of a literary approach, I offer a sustained reading of a single tractate from the Babylonian Talmud, ‘Avoda Zara (AZ). AZ and other talmudic discussions about non-Jews offer a rich resource for considerations of ethics because they are centrally concerned with constituting social relationships and with examining aspects of human experience that exceed the domain of Jewish law. AZ investigates what distinguishes Jews from non-Jews, what Jews and non-Jews share in common, and what it means to be a human being.

I read AZ as a cohesive literary work unified by the overarching project of examining the place of humanity in the cosmos. The talmudic materials are organized as a journey down the cosmic chain of being, from the supernal realm of souls and spirit, to the material world of embodied, animal existence, to the inanimate domain of physical objects. In tracing this descent, I discover in AZ the outlines of a rabbinic anthropology that affirms the common humanity of Jews and non-Jews, and highlights the role of Jewish law in constituting Jewish difference.

As I make my way through AZ, I bring the talmudic text into dialogue with critical insights and issues from philosophy and literary theory. Pointing to ways that the editors of AZ engage the philosophic currents of their time, I challenge the prevailing characterization of the Bavli editors as inwardly focused. Even more important, I explore how AZ engages the critical questions of our time–questions of identity and alterity, of universalism and particularism, of justice and community.

Hebrew

יהושפט הראל, ‘סוגיות ארץ ישראליות לסדר קדשים’, האוניברסיטה העברית בירושלים, תשע”ד.
אסתר פישר. זה יצרו מבחוץ וזו יצרה בפנים – היבטים מגדריים של המיניות בספרות חז”ל, אונ’ בר אילן, 2014
עבודה זו עוסקת בשיח של חז”ל על מיניות נשים מתוך השוואתה לשיח המקביל על מיניות גברים. העבודה בוחנת את מאפייני המיניות הנשית העולים מתוך ספרות חז”ל: מהן הנחות היסוד העומדות בבסיס מאפיינים אלו; באילו אופנים דומה המיניות הנשית למיניות הגברית ובאילו אופנים היא שונה ממנה; מה היחס בין המקורות האגדיים למקורות ההלכתיים העוסקים בהיבטים המגדריים של המין והמיניות בספרות חז”ל. הנחת המוצא של העבודה היא שספרות חז”ל היא ספרות פטריארכלית; היא נכתבה על ידי גברים עבור קהל קוראים גברי, ולכן עוסקת לרוב בגברים. משום כך ההבניה המגדרית הרווחת אצל חז”ל רואה בגבר סובייקט בעל צרכים, רצונות ותשוקות, ואילו באישה היא רואה אובייקט שייעודו למלא את צרכי הסובייקט ואת תשוקותיו. עם זאת לטענתי מאפיין זה אינו מוחלט בתרבויות פטריארכליות בכלל ובתרבות חז”ל בפרט. כיוון שספרות חז”ל היא רב-רובדית ופוליפונית, היא טומנת בחובה יותר מאשר צורה אחת להבניה מגדרית. מתוך הבנת הפוטנציאל הטמון בריבוי הקולות בספרות חז”ל, המחקר הנוכחי בוחן את ההבניות המגדריות של המיניות בספרות זו. המחקר מתמקד בטקסטים המרכזיים והקנוניים של תקופת חז”ל, דהיינו החיבורים שנוצרו ונערכו בין המאה הראשונה לספירה למאה השביעית לספירה בארץ-ישראל ובבבל. ההנחה היא שהדיונים המתועדים בספרות זו היו בעלי תפקיד כפול בעולמם של חז”ל: הם ביטאו את הקודים התרבותיים על אודות מגדר שרווחו בתקופתם, אך בה בעת גם לימדו גברים ונשים מי הם, מה טיבם וכיצד עליהם לנהוג; הם שיקפו תפיסות על אודות המציאות אך גם יצרו מציאות. עבודה זו מפגישה בין שני תחומי מחקר: האחד הוא מחקר ספרות חז”ל והשני – ביקורת מגדר, אשר אחד מענפיה המרכזיים הוא חקר הגוף והמיניות. המפגש בין תחומים אלה הוביל בשנים האחרונות לפיתוח מחקר מגדרי בספרות חז”ל, שבו נטועה עבודה זו.

MA

English

Yehudah Huberman, “‘Because of the Sight of the Eye’: An Historical Philological Inquiry of the Term and Halakhic Category,” Bar-Ilan University, 2013.

Hebrew

יש”י גזונדהייט, “מאבקי סמכות בין חכמים בבבל במאה הרביעית והשתקפותם בשתי תבניות דיאלוג ייחודיות”, אוניברסטית בן גוריון בנגב, 2014.
רון נחמיה לסרי, “‘מי שאחזו בולמוס’: קריאה ספרותית ותרבותית בתופעת הבולמוס בספרות החכמים”, אוניברסטית בן גוריון בנגב, 2014.
דוד סבתו, “מצוות בני נוח בספרות התנאית”, האוניברסיטה העברית, תשע”ד.
איתן פינסקי, “הגרמטיקליזציה של הפועל הוה בצירוף הוה+בינוני בארמית של התלמוד הבבלי”, האוניברסיטה העברית, 2013.
ידידה קורן, “הערלה והערלים בספרות היהודית העתיקה ויצירת היהודי הערל”, אוניברסיטת תל-אביב, תשע”ד.
Standard
Guest Posts, Reviews, עברית

קולו של הבבלי: בכבלי מסורת ותמורה- איתי מרינברג-מיליקובסקי

“קולו של הבבלי: בכבלי מסורת ותמורה” – על ספרו של מולי וידס – איתי מרינברג-מיליקובסקי

Moulie Vidas, Tradition and the Formation of the Talmud, Princeton University Press, Princeton and Oxford, 2014.

מהו ה’בבלי’? שאלה כללית ואמורפית זו, משונה ככל שהיא עשויה אולי להיראות, ניצבת בשנים האחרונות כשאלת-יסוד עקרונית במפעלם של כמה חוקרים. הללו מבקשים לפרוץ בעבודתם את גבולותיו הצרים של בירור קונקרטי, גדוּר-היטב – ויהא זה בירור ספרותי, היסטורי, תרבותי, וכל כיוצא בו – על מנת להתחקות באמצעותו אחר מה שמוצג לעתים ברמז, אם לא במפורש, כ’מפתח’ וכ’סוד’ של הטקסט המכונן. ספרו היפה של מולי וידאס מצטרף למגמה האמורה ותורם לה תרומה חשובה. ‘שאלת הבבלי’ אמנם אינה מוצגת בו במישרין, אולם פרקי הספר מצטרפים יחד לחיפוש מרתק אחר איזו ליבה או מהות פנימית שלו. וידאס אינו מבקש אותה במרחבים רחוקים, בפינה נידחת של מושא המחקר, או בפסקה שולית שרק בגלל חולשתנו לא עמדנו עליה עדיין כראוי, אלא בתופעות מרכזיות, מוכרות היטב לכל המצוי בבבלי. הודות לכך, זווית המבט הרעננה והמסקרנת המוצעת על ידו ניתנת לשימוש חוזר ולבדיקה מתמשכת בידי לומדים וחוקרים.

שני חלקי הספר מטפלים בנושאים ידועים למדי. הראשון, צורני או ‘ספרותי’ במהותו, מוקדש לבעיית היחסים בין רבדיה השונים של הסוגיה התלמודית (פרקים 1-3); השני, תמאטי ו’אידיאולוגי’ במובהק, כרוך בנטיית הבבלי אל החידוש היצירתי (פרקים 4-6). את שניהם מחברת בהצלחה (ואולי, ליתר דיוק, הצלחה יחסית) שאלת הזיקה אל המסורת: עריכת הבבלי במבנה רב-שכבתי מורכב משקפת, לדעת וידאס, עמדה מסוימת באשר לטיבן של מסורות קדומות – והיא היא שמשתקפת גם בהעדפת ‘עוקר ההרים’ על ה’סיני’. תבנית הספר מניחה רמת הלימה גבוהה בין צורה ותוכן, ולכך אשוב בהמשך; בשני המקרים, מכל מקום, מילת המפתח היא ‘אי-המשכיות’ (discontinuity): הבבלי, וּוידאס בעקבותיו, מַבנה, מסמן, מדגיש ואף חוגג את הפער בין מקור לדיון בו, בין ידע לניתוחו, בין ‘מסורת’ ל’מוסרים’; הוא עושה זאת בהצהרות גלויות, הנדונות בחלקו השני של הספר, ובדרכים שקטות יותר, הנדונות בחלקו הראשון.

לא יפלא, אפוא, כי החיבור שלפנינו מנכיח בדרכים שונות את דמות עורכיו של הבבלי, שאת קולם – ‘קולו’ של הבבלי, מכנה אותו המחבר לפעמים– אפשר לאתר בקלות, אם רק מאזינים כראוי:

If we think of the Talmud’s creators mostly as introducing unconscious modifications, as hiding themselves behind their traditions and retrojecting their own words and ideas into them, as adapting tradition to new context and ‘improve’ it, it is because we have focused on these specific activities and not others. The Bavli’s creators themselves are not hiding: they are there in almost every sugya, structuring the discussion and leading the reader (or listener) through the sources, expressing their voice in the anonymous discussion that organizes most of the Talmud. While their choice of anonymity in itself might be seen as an act of deference toward their predecessors, their literary practice betrays a different set of priorities. (p.11)

בהעמידו בסיס קונספטואלי לפרקים הפרשניים שיבואו אחריו, סוקר המבוא לספר גישות מרכזיות בשאלת היחסים בין ‘קולו’ של הבבלי עצמו לקולות המצוטטים בו. גישות אלה נכרכות בידי וידאס בתמורות שחלו בעת החדשה בהמשגת ה’מסורת’, כמו גם בהתפתחויות בחקר התרבויות האוראליות, ובהטמעת השיח על אודות פרקטיקות של ‘מְחבּרוּת’ (authorship. * מונח עברי אלגנטי יותר יתקבל בברכה) – הן כאשר תמורות אלה מוזכרות בכתבי מקצת מן החוקרים ומשמשות להם השראה גלויה, והן, מודה וידאס, כאשר הן בבחינת ‘נוכח-נפקד’ בעבודתם של חוקרים אחרים.

moulie book

הפרק הראשון דן בסוגיית הפתיחה של מסכת בבא קמא, ומראה כיצד הבבלי אמנם מכשיר את הקרקע לשילוב עמדת אחד האמוראים (במקרה זה, רב פפא) במסגרת הדיון הסתמאי, אך בה בעת מבליט את חוסר ההלימה בין דבריו ובין העמדה המובלעת של הדיון המקדים. כך למשל מזהה וידאס בקריאתו הרגישה מתח בין עיצוב עמדת הסוגיה בגוף ראשון רבים, לעיצוב עמדת האמורא נקוב-השם בגוף שני יחיד; מתח הנתפס על ידו כביטוי סימפטומטי להתמודדות עם מסורת העבר, המוצגת ברגיל כ’אחרת’ (ולפיכך כתלויית-הקשר), בניגוד להווה ‘שלנו’ (קרי, של עורכי הסוגיה), הנהנה מזכות-היתר של קביעת ההקשר, ובכך מפקיע את עצמו מקונטקסטואליזציה מצמצמת.

בפרק השני מנווט המחבר את דרכו בזהירות במחלוקת על אודות היחסים הכרונולוגיים בין החומר הסתמאי והחומר נקוב-השם, מחלוקת שהדיה ניכרים כמעט בכל דיון משמעותי בבבלי בעשורים האחרונים. וידאס מציע לראות את ההפרדה בין חומרים משני הסוגים – כלומר, את ריבוד (layerization) הטקסט התלמודי – כקונסטרוקט ספרותי של עורכי התלמוד ויוצריו; חומרים ארץ-ישראליים (במקרה הנדון בפרק זה, ובמקרים רבים אחרים) מאורגנים מחדש בסוגיה הבבלית בשכבות האופייניות לה, תוך הפרדת המסורת מהאנליזה, או כפי שהדברים מנוסחים לקראת סוף הפרק – תוך הפרדה בין שכבה מצוּטטת לשכבה מצטטת. הפער בין השכבות, לגבי דידו, אינו משקף פער היסטורי בהתהוותן, אלא מעשה עריכה מתוחכם המתמודד באמצעים סגנוניים עם הקונפליקט בין מסירה וחידוש:

The layered structure… combined a commitment to a faithful transmission of tradition and an independent and flexible engagement with that tradition. It allowed Babylonian scholar to contrast their own approaches with the teachings of the past, whether to showcase the scholarly virtuosity of an individual scholar or more generally to mark the distance between a classical past and their own age. The adoption of this structure was a move toward a more marked distinction between tradition and innovation. (p. 78)

במקום אחר בפרק מדגיש המחבר כי התלמוד עצמו – רוצה לומר, הטקסט הערוך, הסופי, ‘קולו של הבבלי’ שכבר הוזכר לעיל – הוא שמייחד מונחי ציטוט להבאת מימרות וברייתות, ומותיר את השכבה הסתמאית בלעדיה; התלמוד עצמו הוא שמעצב לעתים, אם גם לא תמיד, הבדלי שפה (עברית-ארמית) בין החלקים נקובי-השם לחלקים הסתמאיים. טיעונים אלה מודגמים בניתוח סוגיה ממסכת פסחים: וידאס מיטיב לשכנע כי במקרה זה הבבלי והירושלמי חולקים לא רק תשתית למדנית משותפת, אלא אף אבחנה פנימית בין אלמנטים נקובי-שם לאלמנטים סתמאיים, אלא שהבבלי מארגן אותם מחדש. ברוח זו, ובניגוד לרושם העולה לעתים ממחקרים המוקדשים לתופעות אלה, מטעים המחבר כי הבבלי אינו מוסיף מסגרת ספרותית לחומרים שחסרו אותה, כי אם מחליף מסגרת ספרותית אחת – באחרת. המסגרת החדשה מבוססת על אבחנה ההולכת ומתחדדת בין מסגרת סתמאית סיפורית-עיונית, המתווה את מהלך הסוגיה, לבין החומרים הנדונים על ידה, ויהא מקורם אשר יהא.הפרק השלישי דן בסדרה של סוגיות משלהי מסכת קידושין, ומראה כיצד אותו מרחק ביקורתי שנרקם בידי עורכי התלמוד בריבוד הסוגיות לשכבה מצוטטת ושכבה מצטטת, מושג לעיתים קרובות גם באמצעים אחרים, שאינם קשורים דווקא לפעולת הריבוד במובנה הצר. עדכון ועיבוד של מסורות ספציפיות, שינויים בפונקציות של אלמנטים בודדים במארג הסוגיה, ארגון מחודש של מבנים סיפוריים, פיתוח קומפוזיציות רטוריות מורכבות – כל אלה תורמים לא רק ל’התאמה’ של חומר ישן לסדר-יום חדש, אלא גם לעיצוב מבט ביקורתי על החומרים המיוצגים בסוגיה כ’ישנים’, או באופן רחב יותר כמורשת מן העבר.

הפרק הרביעי פותח את חלקו השני של הספר, ומציע בחינה מחודשת לתמה בבלית ידועה: אהדת החידוש כפרקטיקה למדנית ראשונה במעלה, המאפילה, בלשון המעטה, על פרקטיקות אחרות, כגון שימור והעברה של מסורות. תמה זו, שנדונה רבות במחקר, זוכה כאן לפנים חדשות, כמעט כפשוטו של ביטוי: אין היא עוד בבחינת עמדה ‘אקדמית’ תיאורטית של בעלי התלמוד ועורכיו, כי אם כלי לעיצובה של זהות עצמאית ייחודית, נבדלת מזהותם של ה’תנאים’, שתורתם מתמקדת במסירה בלבד. וידאס רואה בה עדות טקסטואלית למתח תרבותי בין קבוצות דתיות שונות בחברה היהודית בבבל, קבוצות המצטיירות על ידו במלוא ממשותן (ככל שהמקורות הספרותיים מאפשרים להעריך איזו ‘ממשות’). בהתייחסו למציאות הריאלית הוא משער, וראיותיו עִמו, שהגבול בין ‘מסרנים’ לחכמים לא היה בהכרח ברור כל כך; ממילא, תודעת הזרוּת המגדירה את היחסים ביניהם בפסקאות רבות מן הבבלי ראויה לדעתו להתפרש אף היא כקונסטרוקט ספרותי שתפקידו לגלם את המתח בין שתי הקבוצות, ובמישור סימבולי מופשט יותר – בין מסירה ואנליזה. כך מתווה הייצוג הספרותי (להבדיל מן ה’מציאות’) גבולות מובהקים בין ‘אנחנו’ (בעלי התלמוד, אנשי האנליזה), ל’הם’, כלומר, למי שמסומנים מעתה כ’אחרים’ (בעלי המשנה, ה’תנאים’ המשננים).

בהמשך לכך, הפרק החמישי עוסק בויכוח על הציטוט (או השינון), וממקם את דיוניו של הבבלי בעניין זה בתוך ההקשר הרחב יותר של העולם הסאסאני. מעתה, השוואת התנא המצטט למגוש הזורואסטרי – “דאמרי אינשי: רטין מגושא ולא ידע מאי אמר, תני תנא ולא ידע מאי אמר” (בבלי סוטה כב ע”א) – אינה מתקיימת בחלל הריק; סימוּן המצטט כ’זר’, תוך הפיכת ‘בעל התלמוד’ כנגדו לנציג אותנטי-יותר (כביכול) של התרבות היהודית, מזכירה לדעת המחבר נסיונות דומים להבניה עצמית של הקול ההגמוני הדובר בטקסטים נוצריים וזורואסטריים, דמיון הניכר מבעד להבדלים בפונקציה שממלא הזכרן-המצטט בכל אחת מתרבויות אלה.

האם לסיפור זה יש צד שני? כיצד עשויה להצטייר מערכת היחסים בין המסרנים ללמדנים, מזווית המבט של הראשונים? בהיעדר עדויות מפורשות, בגוף ראשון, לפרספקטיבה של המסרנים על אודות יחסיהם עם החכמים ‘בעלי התלמוד’, חלקו השני של הספר נחתם בנסיון מאלף לאתר קצה-חוט ל’סיפור המתנגד’ (counternarrative) שלהם. דמותם של ה’אחרים’ של הבבלי, התנאים ‘מבלי העולם’ (סוטה, שם), מגיעה אפוא לשיא ממשותה בפרק השישי, בו נבחנת ספרות ההיכלות, ובעיקר מסורת ‘שר התורה’ המשולבת בה, כצוהר אפשרי לעולמם הדתי. תוך הצבעה זהירה (ושמא זהירה מדי) על נקודות השקה אפשריות בין מסורת ‘שר התורה’ ודמותם של המסרנים המתוארים בתלמוד, משרטט וידאס קווים לדמותה של קבוצה דתית המעמידה אלטרנטיבה לתרבותם של חכמי בבל. אלטרנטיבה זו מצטיינת, בין היתר, בתפיסת מעשה הזכרון והציטוט כמעשה ליטורגי יותר מאשר אינטלקטואלי; הבנה, לגבי דידה, אינה בהכרח התכלית המרכזית של העיסוק הטקסטואלי, ואפשר אף שהיא סותרת תכליות נעלות ממנה. בתקופת הגאונים, רומז המחבר בפרק המסקנות שבסוף החיבור, משהו מן הלהט היצירתי של בעלי התלמוד הולך וקופא, בשעה שהתלות בתנאים-המסרנים הולכת וגוברת; בבל, כפי שהכרנוה, משתנה מן היסוד.

הקריאה בספר מעוררת מחשבה עד מאוד; הטקסט מתוּמרר כהלכה – כבבלי עצמו – וכל אחד מחלקיו זוכה לדברי הקדמה וסיכום מועילים, התורמים יחד להעמדת משנה סדורה ומגובשת (ואולי מוטב: ‘תלמוד סדור ומגובש’?…). את הדיון בו אבקש למקם בשלושה הקשרים שונים, הנתונים בחפיפה חלקית זה עם זה: המתודולוגי, הפואטי-רטורי, והאידיאלוגי.

ראשון – ההקשר המתודולוגי. נסיונו של המחבר לטפל בשאלות ה’גדולות’ הנוגעות לאופיו היסודי של הבבלי, ושל התרבות המשתקפת ממנו, מעלה בחריפות את בעיית מגבלותיה של הקריאה הצמודה (close reading). וידאס הוא ‘קורא צמוד’ מעולה – דוגמה טובה לכוחו הפרשני מצויה בניתוחו היפה לסוגיה מפרק ‘חלק’ בסנהדין (עמ’ 132-136) – אולם הקורא עשוי לתהות באיזו מידה הסוגיות המעטות-יחסית הנדונות בספר באופן מעמיק, יכולות להעיד על הבבלי כולו. הפתרון, לעניות דעתי, אינו טמון בוויתור על התמודדות עם אותן שאלות – מה גם שלוידאס תשובות מפרות עד מאוד – אלא בפיתוח מתודולוגיה הולמת לדיון בקורפוס רחב. ברוח זו, מעניין לחשוב על תרומתה האפשרית של ‘קריאה רחוקה’ (distant reading) מבית מדרשו של פרנקו מורטי, הן להתבוננות רפלקסיבית בכבלי הקריאה הצמודה/הקרובה, הן לבחינה שיטתית של התופעות הנבחנות בספר שלפנינו (בעיקר בחלקו הראשון). דוגמא פשוטה לכך יכולה לשמש אבחנתו של וידאס, שנזכרה לעיל, בין ייצוג דברי חכם נקוב-שם בגוף שני יחיד, לייצוג ‘קולו של הבבלי’ בגוף ראשון רבים: מדובר באבחנה לשונית-סגנונית מוגדרת הניתנת למדידה, לכימוּת ולמיפוי (באמצעים ‘אנושיים’ או ‘חישוביים’), בעזרתם ניתן יהיה להציע, בשלב ראשון, תשובות חלקיות לשאלות כגון: בכמה סוגיות היא מופיעה, ומכמה היא נעדרת? מתי הסוגיה נותנת לחכמים לדבר ‘יותר’, ומתי היא נוטלת את זכות הדיבור לעצמה? האם התופעה נפוצה יותר בסוגיות פתיחה של מסכתות ופרקים? האם יש מִתאם (קורלציה) בין הופעתה בסוגיות מסוימות, לנוכחותם של מונחי משא-ומתן קבועים-פחות-או-יותר באותן סוגיות? באיזו מידה היא משקפת הרחבה של תופעות דומות בספרות הארץ-ישראלית? ומשעה שתשובות לשאלות אלה יונחו בפנינו, יגיע זמנו של המבט הרפלקטיבי, כיאה ל’קריאה רחוקה’ טובה: מה משמעותה של התופעה? מדוע היא מתנהגת כך ולא אחרת? כיצד היא מאירה את דמותו של הקול האומר ‘אנחנו’ במרקם הטקסט התלמודי, במסגרת ה’מחזה’ הלמדני שסוגיות רבות מעמידות בפנינו? בקצרה, סקירתה לאורך ולרוחב הבבלי – הבבלי כולו – עשויה להוליד טיפולוגיה עשירה של סוגיות, מתוחה על פני ספקטרום לשוני-סגנוני נרחב, ונושאת מימד תרבותי-אידיאולוגי.

שני – ההקשר הפואטי-רטורי. וידאס מייחס לסוגיה התלמודית, בצדק, איכויות פואטיות ורטוריות מובהקות (אף על פי שמונחים אלה כמעט נעדרים מן השדה הסמנטי הרגיל בספרו). איכויות אלה, על פי רוב, מבטאות לדעתו את ‘קולו של הבבלי’ – המצטייר בין השיטין כקולו של עורך רב-עוצמה, העושה בחומריו כבתוך שלו. הנחות אלה גוררות אחריהן מערך טיעונים שלם: כך, וידאס מבכר באופן שיטתי הסברים המייחסים כוונה ומודעות ליוצרי הטקסטים (ראו לדוגמא עמ’ 143, וכמותו רבים), ומצמצם למינימום הסברים ‘טכניים’ או ‘פורמליסטיים’; כך, נקודות של מתח או של אי-התאמה מתפרשות על ידו תדיר כביטוי לכוונה חתרנית של העורכים (כפי שעולה למשל מסוף הפרק הראשון), ולא, למשל, כתוצאה מקרית של התרחבות השיח הלמדני, או של כוחות צורניים אחרים הפועלים על הסוגיה (דוגמא טובה לכך היא טיפולו במסורת על שם האל בבבלי קידושין עא ע”א, הנדונה בעמ’ 99-100). כל אלה הכרעות מטא-פרשניות סבירות, מוצדקות לגמרי במסגרת הפרדיגמה העיונית של וידאס, ואפשר גם שקשה להעניק לסוגיה משמעות בלעדיהן; אך לכל הפחות יש מקום להרהר במערכת היחסים ההדוקה הנרקמת באמצעותם, כמו גם באמצעות מבנה הספר כולו, בין צורה לתוכן – צמד הראוי בעיני למבט חשדני יותר, מסוייג במידה.

שלישי ואחרון – ההקשר האידיאולוגי. בהשראת הגותם של ולטר בנימין וג’ורג’יו אגמבן, טוען וידאס כי חשיפת מנגנונים המכוננים ‘אי-המשכיות’ בין מסורת למוסריה, מעניקה לעבר קיום עצמאי, ובמשתמע – מייחסת לו משקל רב יותר מזה שניתן לו בדגמים המדמים המשכיות הרמונית יותר בין עבר להווה. על רקע טענה זו, מעניין ואף מפתיע להשוות את תפקידם של בנימין ואגמבן בספרו של וידאס, עם התפקיד ההפוך השמור להם, להבנתי, במחקר העכשווי של הספרות העברית החדשה: בשדה זה הם מוזכרים לאחרונה שוב ושוב דווקא כמי שמאפשרים לחשוב על זיקותיה הרצופות של הספרות החדשה, החילונית-לכאורה, למקורות יניקתה הקדם-מודרניים הדתיים. הנה כי כן, בחקר הספרות הרבנית, תפיסה רציפה של המסורת – תפיסה מתבקשת למדי, כשלעצמה – מוצגת (בספר שלפנינו, ולא רק בו) כ’לא-ביקורתית-מספיק’, ולפיכך מומרת בנראטיב של שבר או סדק היסטורי-תרבותי; ובחקר הספרות החדשה, לעומת זאת, דווקא תודעת משבר היסטורי-תרבותי – תודעה מתבקשת למדי, כשלעצמה – היא שמוצגת כ’לא-ביקורתית-מספיק’, ולפיכך הולכת ומומרת בנראטיב מסורתי, הרמוני לפרקים. אני מקווה שדי באנלוגיה זו כדי לשלול – בשני השדות המחקריים – התנגדות לנראטיב אחד כאילו הוא ‘מדומיין’, והערצה לאחר כאילו הוא ‘ממשי’; נדרש כיוונוּן-תדרים עדין יותר.

אך נשוב אל העיקר: חוויית הקריאה בספרו של מולי וידאס מזכירה לעתים התבוננות בצידו הפנימי של בגד יפה. לא משום שהוא מגלה את התפרים הנסתרים המחברים את חלקיו השונים של הבגד יחד – הללו, הרי, גלויים וידועים זה מכבר לכל הרגיל בבגדים (ובהתאמה: לכל מי שרגיל בקריאה ביקורתית של הטקסט התלמודי) – אלא משום שתפרים אלה עצמם זוכים רק כך לבּוֹלטוּת אסתטית (ובהתאמה: אידיאולוגית); הם אינם רק אמצעי טכני המחבר יחד, בעדינות אלגנטית או ברישוּל גס, מרכיבים שונים, אלא מנגנון אמנותי המסמן ומבליט ומעצים את שונותם של המרכיבים המצויים משני עבריו. ומן המשל אל הנמשל: חידושיו המרשימים של וידאס אינם חושפים אלמנטים לא ידועים בטקסט התלמודי, אינם מצביעים על רובד נוסף שנותר עד כה בצֵל, אלא, בפשטות, מזמינים את הקורא לשנות את הפרספקטיבה; וזו החדשה, לטעמי, ראויה ומבטיחה ביותר.

איתי מרינברג-מיליקובסקי משלים בימים אלה את עבודת הדוקטור שלו במחלקה לספרות עברית, אוניברסיטת בן-גוריון בנגב, תחת הכותרת “למעלה מן העניין: יחסי הגומלין בין סיפור והקשרו בתלמוד הבבלי – סיפורים מרובי-הופעות כמקרה מבחן” (בהנחיית ד”ר חיים וייס ופרופ’ תמר אלכסנדר).

Standard
Announcements, English, Guest Posts

A Tantalizing Tale of Temura Fragments – Guest Post by Noah Bickart

As a Talmudist at the Jewish Theological Seminary of America, I have long been accustomed to fantastical tales about the discovery of ancient manuscripts of the Babylonian Talmud. That famous picture of Schechter in the Geniza hangs everywhere in our halls. We are taught from the beginning not only to read Raphael Nathan Rabinovitch’s Dikdukei Soferim, but to imagine him on some Sunday morning in Rome, unlocking the Vatican Apostolic Library with his own set of keys, sitting down to transcribe Vatican 109 by candlelight. We hear of our own Haim Zalman Dimitrovsky, who supervised the doctorates of so many of our own teachers (Shamma Friedman, Mayer Rabinowitz, Joel Roth, and Burton L. Visotzky among countless others), roaming the monasteries of Italy, excato knife in hand, no binding safe from the search for more Seridei Bavli. And yet, we are accustomed to thinking that the time for these kinds of monumental discoveries, of even a few leaves of a Tractate stuffed into the binding of a 16th century print, has long past, and that only European libraries and monasteries might hold more finds. You can imagine my surprise when I found myself staring at an image in a Facebook message of what looked to my own eyes as an early European manuscript of the Bavli, apparently having formed the cover of a book of Church Music published in Prague in 1604, now housed in Fales Library at New York University.

A young scholar of musicology, Sam Zerin, who happens to be married to a former student of mine, Rachel Dudley Zerin, is pursuing a doctorate under Professor Stanley Boorman at NYU. Dr. Boorman, with his students, is now working on this collection, comprising about a dozen volumes, all of which are bound in Vellum manuscripts, mostly Latin music texts. Yet three volumes are bound in parchment from a single manuscript in a language Dr. Boorman didn’t read. Sam, his student, immediately recognized the script as Hebrew, and offered to ask his wife Rachel if she knew anyone at JTS who might be able to identify the text. Having been subjected to my (in)famous synopses in a class she took with me on Aggadah in Seder Nashim some years ago, Rachel had Sam send me some pictures of these bindings.

When I saw the first picture, it became clear that this might actually be a major discovery. The topic was Temura (הוא לה’ קריבה ואין תמורתו לה’ קריבה) and featured a dispute between Rava and Abaye, meaning that what I was looking at was either the Babylonian Talmud or some text which quoted or paraphrased it. Some brief searching in the Bar Ilan Responsa database led me to assume that this might be a section of Yalkut Shimoni‘s version of Temura 3b, which more closely matched this MS than did the printed texts of the Bavli, yet searching in the Lieberman database of Talmudic manuscripts revealed that indeed this was a manuscript of Temura. At this point I called Professor Neil Danzig and sent him the pictures. The questions were broad: might this text hold the key to resolving the dispute between Y.N. Epstein and E.S. Rosenthal on the relative age and provenance of the “Lishna Aharina” sections of Temura? How does this version of Temura compare to the fragments of this chapter found in the Geniza? Neither of us slept. I spent the night immersed in Temura.

When we spoke in the morning, we were both convinced that the covers from these three books were fashioned from a single manuscript of (or at least the first chapter of) Temura, written somewhere in Europe in the 12th or 13th century. Professor Danzing noted three features which pointed to an early date and “Proto-Ashkenazi” provenance for this text. First, the divine name is represented by three and not two letters “yod.” Second, the manuscript shows clear signs of striation. Third, the letters, “gimel” are elongated. We made an appointment to visit Dr. Boorman and these books at Fales Library.

#4

A picture of one of the fragments.

The meeting between Drs. Boorman and Danzig was a beautiful example of everything that is right in the academy. Two scholars whose fields almost never overlap were brought together by a single artifact. Each scholar was able to explain in detail various but not overlapping aspects of this object, and each was able to convince the other of the worth of this object for his respective field. It was Professor Boorman who made the case to the conservator on duty that the bindings really needed to be opened, that the worth of this text to our field was worth potentially damaging his book.

Needless to say, I plan on transcribing this fragment in the coming months, comparing its readings to all the extant witnesses of the tractate as well as other variants recorded in the Shita Mequbetzet, and related works, with the aim of publishing an article on the fragment and its textual tradition. In the meantime, if any of the readers of the blog have any insights or thoughts about how to proceed, or know of any witnesses to Temura not listed in the Sussman catalog, I would love to hear about them.

Noah B. Bickart is an an adjunct instructor in Talmud & Rabbinics at JTS where he also serves as the Principal of the Rebecca and Israel Ivry Prozdor High School Program and is completing a PhD on scholastic terminology in the Babylonian Talmud and parallels to Syriac Christian literature.

Standard
English, Guest Posts, Recent Publications

On Paul Mandel’s ‘Was Rabbi Akiva a Martyr?’- Daniel Boyarin

Daniel Boyarin’s study of martryology in late antique Judaism and Christianity has been one of the most enduring legacies of his scholarship. A recently published study by Paul Mandel on the martyrdom of R. Akiva in rabbinic texts raises some questions about Boyarin’s readings, and it is accompanied by a lengthy Appendix  on the matter (available here with permission from the author and publisher). The Talmud blog is honored to provide a space for Professor Boyarin to respond.

My teacher, Prof. Saul Lieberman, May the Memory of the Righteous be for a Blessing, used to say that the proper Festchrift for a senior scholar was one in which his students and colleagues corrected all of the errors he or she had made in his work over the decades. I begin, then, by thanking Prof. Paul Mandel for catching and correcting an important error in my work, one that was, moreover, compounded by successive revisions of the argument in which the initial error was never corrected until quite recently. I also wish to congratulate him on a very important and largely compelling article. Let me step back a moment and fill in the background here for those who might not know of what I speak.

Mandel recently published an important article (“Was Rabbi Aqiva a Martyr? Palestinian and Babylonian Influences in the Development of a Legend,” in Ronit Nikolsky, Tal Ilan  eds, Rabbinic Traditions between Palestine and Babylonia (Brill 2014))  in which he argued that in the Yerushalmi and in the earlier stages of the Bavli’s transmission, the story of Rabbi Akiva’s death [Berakhot 61b] is not portrayed as a martyrdom but as something he calls a “political drama” (It’s not clear to me how a martyrology is ever not a political drama, but nonetheless). The important evidence is that in the earliest forms of the text as preserved in one family of Bavli MSS, significant markers of the martyrological character of the story are missing, only to be added in later families of manuscripts to Massekhet Berakhot. The argument, and it is a quite compelling one, leads to the conclusion that the martyrological elements in the story are a later addition, perhaps—even probably—is added to the story in the Byzantine era and under the impact of Christian martyrological literature. As I’ve said already, by and large, I find this article convincing. The conclusion, of course, invalidates my own interpretations of this story in its form as a martyrology as late-ancient and intimately bound up with the formation of the very notion of martyrology as a Jewish/Christian co-invention in the third and fourth centuries. One is always sorry to lose a treasured reading, but זה בונה וזה סותר,כך דרכה של תורה. The work lines up with other analyses of this type (including at least one of my own) in which we see that notions that we ascribe to the Bavli are really the product of late stages of transmission of the text and the earliest forms of the Bavli-text as found in manuscripts line up much more closely with the Yerushalmi. Indeed, Rabbi Akiva may not have been fully understood as a martyr until some time later than we thought, although it may not be gainsaid that there are martyrological moments even in the earliest Bavli transmissions of the story.

As said, Mandel is to be congratulated on this achievement. He, however, devotes quite a bit of time in the article, and especially in an appendix, discussing an egregious error that I made in doing my own work on this topic, and it is this aspect that I would like to take up here. First off, as said, of course he is right. When I originally translated this text, I simply skipped an entire line in transcribing from the Vilna edition of Berakhot, a regrettable error in its own right, especially since the line that I skipped strongly supported my interpretation of the story.

Here is the bit of text, as I wrote it and as it ought to have been transcribed. I wrote:

In the hour that they took R. Aqiva out [to be executed], his disciples said to him, “Our master, so far? [i.e., is this necessary].

I should have written:

At the hour that they were bringing out Rabbi Aqiva for execution, it was the time of the reciting of the Shema, and they were flaying his flesh with iron combs; and he was accepting upon himself the yoke of the heavenly kingdom. His students said to him: Our master, so far? [i.e., is this necessary?]

Mandel makes much depend on this missing line of text:

What is particularly significant in this text [i.e., Boyarin’s mistaken text] is the fact that the query of the disciples to Rabbi Aqiva appears directly after the exposition declaring his being taken out for execution; there is no mention of the torture or of Rabbi Aqiva’s recital of the Shema at this time. This means that the disciples’ alarmed question, “Our teacher, so far?,” must be taken to be a challenge to the very act of his impending death, as Boyarin indeed explains in a bracketed addition: [“i.e., is this necessary?”], meaning “is this [acquiescence to your] execution necessary?” Rabbi Aqiva’s answer, based upon his midrashic comment to Deut 6:5, thus becomes a forceful argument for the “joining of Eros and Thanatos”; Rabbi Aqiva’s message to his students is: “Death is not only required of me at this time [“it is necessary”], but all the more: I have actively sought out just this martyrdom all my life as a fulfillment of the commandment to love God.”

I cannot, for the life of me, see how the addition of the elements of Rabbi Akiva being flayed alive, nor that the moment was the time of the reading of the Shema, detract one iota from the martryological interpretation of the story as it appears in the textus receptus. The students, nonetheless, see their teacher being flayed, a grisly form of execution, and ask whether it is necessary that this awful thing happens, to which he answers, yes. Rabbi Akiva, moreover, prepares to accept the yoke of the kingdom, i.e., his tormented death, at this very moment by reciting the Shema, as it happens. It is trivializing of the story in the extreme to make the disciples question a merely halakhic one: Is it necessary to read the Shema at such a time? Their question remains directed at the master’s impending death as well as present pain. His answer is precisely that through the recitation of the Shema at the time of being tortured and killed, he fulfills the mitzva of “with all your soul.” Had the addition of the line I inadvertently skipped been lethal for my reading, this would have been a much more important error than it is. I cannot see, however, how adding the detail of Rabbi Akiva being flayed alive (certainly a martyrological trope) or the moment being the time for the reading of the Shema detracts from the martyrological reading of the textus receptus. If anything it surely enhances that character.

אמר להם: כל ימי הייתי מצטער על פסוק זה:
‘בכל נפשך’ (דברים ו ה)  אפילו נוטל את נשמתך. –
אמרתי: מתי יבא לידי ואקיימנו?

Any way that it is construed then, the textus receptus surely describes a desire for martyrdom on the part of its hero protagonist, with or without missing lines of text. Despite having little effect on the interpretation of the passage in the textus receptus, it remains a regrettable error nonetheless. The same error was repeated, moreover, in three other publications about this narrative both in Hebrew and in English over the years. I am chastened and embarrassed.

More egregious than that is the evident fact that even when I claimed later on in one of the publications to be citing from a manuscript, the error persisted, so once again the work was sloppy at this point. I had clearly been reading the MS at the time of the later work, as a large new chunk of text considered there was copied from the MS. At that time, moreover, some elements of the variant readings of the Oxford MS did enter my translation (interestingly the variant that Mandel considers “most significant,” the repetition of אמרו, is represented in my revised text!) of this story then. The haplography (if that be the right term for a skipped line) remained in place, although, to be sure, the flaying is indeed absent in the Oxford text, and that is an important part of Mandel’s argument as well. The repetition of the error is, to me, unaccountable. I hope that there are few errors of such a nature in others of my works but hardly imagine that none exist, much as I have tried to be careful over the years both with copying, translating, and checking manuscript variants. It is necessary to restate, however, that the skipped line does not affect my original interpretation of the text; as said above, putting it back in only enhances my reading. In the latest version of the text (the recent Hebrew translation of Intertextuality and the Reading of Midrash), the line is restored with only positive effect). The error itself is, therefore, regrettable and mortifying but not, in itself, of great interpretative significance.

The argument of my various readings of this narrative (and they are in different discursive contexts and themes) stands even better once the text of the textus receptus is restored. Much of this is, therefore, a red herring that detracts from the genuine innovation of Mandel’s own case which I would now quickly lay out. Where earlier scholars in general read the story in the Bavli as we have it as representing an early (at least ideological) reality, Mandel shows that it reflects rather a later ideological reality. He does so by demonstrating that the earliest witnesses to the Bavli text read quite differently: in them, the disciples’ question is not: Is it necessary to suffer and die, Master, but rather is it necessary to read the Shema in such a condition of danger. Where some—not Boyarin as Mandel himself remarks—would have read the text as representing something about the actual death of R. Akiva and some, Boyarin, as representing fairly early rabbinic representations of that death, Mandel thus shows that in its earliest form it is considerably less martyrological in its import and that the strongly martyrological elements are later additions to the text during its transmission. Where, then, I had thought it to be evidence of a third or fourth century rabbinic contribution to a developing shared discourse of martyrology, Mandel shows, I think, that it is rather evidence for continuing later influence of Christian martyrologies on the developing talmudic text. I by and large accept this conclusion which takes Prof. Lieberman’s point from The Martyrs of Caesarea and expands it. The story of R. Akiva’s martyrdom is thus a much less apt example for an early, common, discourse shared by Rabbis and Christians in Caesarea. So be it; a fine and important conclusion. It is curious, however, that Mandel in treating only the fate of this story, completely ignores the rather significant other evidence that I have cited for early rabbinic martyrological discourse defined exactly as I have done as eroticized and even desired death for God. Within the mini-corpus of my texts on this subject, there are citations and discussions of Sifra Ahare Mot 8,3, on the “three boys,” Sifre Devarim on the death of Rabbi Hananiah ben Tradyon, and especially the Mekhilta Shirata 3 on Rabbi Akiva’s own drasha: We have loved you until death. Even without the story in the Bavli, the inference that eroticized death, a conflated eros and thanatos, was quite early found in rabbinic literature seems quite sound. (And, this, it should not be necessary to add, even without accepting ascriptions of tannaitic sayings to their alleged authors or imagining that the tannaitic midrash took shape before the late third or even early fourth century).

Such deliberate, not accidental, elision of evidence is evidence of Tendenz. Mandel shows his hand when he claims that his refutation of my historical interpretation of the Bavli text destroys entire the thesis that I have developed in Dying for God and even more so in Border Lines of ongoing blurred borders between nascent Christianity and rabbinic Jews. This, I suspect, is his real target, and it is arrant nonsense. The argument about Rabbi Akiva’s alleged martyrdom is only one chapter out of four in the former book and not even mentioned (as Mandel concedes) in the latter one, in which there are a couple of hundred pages of textual evidence, analysis, and reasoning that have nothing to do with martyrology at all. Moreover, in the Hebrew publication in the Dimitrovsky volume, there is an extensive discussion of other martyrological tales from the Talmud, as well from Tractate Avoda Zara and translated from the universally acknowledged best MS of that text, in addition to the discussions of tannaitic midrash as mentioned above. There may very well be other textual errors lurking in both books, and surely other ways of construing the evidence, ones that might even convince me, as Mandel has here, that I need to revise my thesis, but invalidating one important and highly evocative piece of evidence does not go far in challenging a thesis that is argued on a much much broader evidentiary base. Mandel’s argument on this score, then, is an argumentum ad hominem (by discrediting the author of the argument and not the evidence or reasoning) and as such simply and plainly invalid.

Daniel Boyarin is Hermann P. and Sophia Taubman Professor of Talmudic Culture at the University of California, Berkeley.

Standard
English, Guest Posts, Reviews

‘Introduction to the Grammar of Jewish Babylonian Aramaic’- A Review

Elitzur Bar-Asher Siegal, Introduction to the Grammar of Jewish Babylonian Aramaic, (Münster: Ugarit-Verlag, 2013) – Reviewed by Aaron Koller

For those interested in the grammar of the Bavli, the past few years have seen a steady stream of important new publications. The book under review here will take pride of place in any serious study of the language, as it is the only volume that presents a full picture of the language. An advanced seminar can now work through Bar-Asher Siegal’s book, pore over Sokoloff’s monumental Dictionary of Jewish Babylonian Aramaic (Baltimore: Johns Hopkins University Press, 2002), study Moshe Morgenstern’s Studies in Jewish Babylonian Aramaic (Winona Lake: Eisenbrauns, 2011; see my review here), and use the series of high-quality publications of magic bowls (many also with the involvement of Morgenstern),[1] and emerge with a good knowledge of the dialect.

EABASIGJBA

Perhaps more, however, students in such a seminar will emerge with a deep sense of the challenges facing researchers of the dialect. Those challenges are well adumbrated in Morgenstern’s volume, and they are addressed in Bar-Asher Siegal’s book throughout. These challenges also make the notion of an introductory grammar to the dialect somewhat problematic from the outset. So while Bar-Asher Siegal’s book is excellent, as will be detailed below, it should also be said that the problems of genre and audience are serious here. The author himself notes at the outset that because of the nature of JBA and our data, it is “difficult to write an introductory grammar book of the sort available for Biblical Hebrew, Biblical Aramaic, Classical Arabic, Classical Greek, Classical Latin, etc.” (§0.8, p. 33).

One of the strengths of the book is its precision, both philological and linguistic. (There is a seven-page “glossary for linguistic terminology” at the end [251-257], apparently reflecting the author’s understanding of the demands he is making of his readers.) While there are exercises for each chapter (found, oddly, at the end of the book in a single bloc (pp. 259-286)), this can be a teaching grammar only for advanced students. But let me be clear: the rigor reflected on every page of the book is to be applauded, even if it makes things complex. The only alternatives, in the current state of our knowledge, are to forego a serious analysis of the language or to rely on the printed editions in all their glorious corruption.

Bar-Asher Siegal’s book relies on original research in the manuscripts of the Bavli and original grammatical analysis by a scholar who moves effortlessly between Semitic philology and linguistics. This is as good as an “introduction to Jewish Babylonian Aramaic” can be, and it is difficult to imagine anyone producing a better grammar of this type until there are qualitative advances in the field of JBA.

Bar-Asher Siegal argues, both in the introduction to the book (pp. 28-31) and in an article published in the same year,[2] that there are no really reliable manuscripts for the Bavli. This is against the methodology preached by Yechezkel Kutscher, which has proven so productive for the Mishnah and the Sifra, in particular. Whereas Morgenstern contends that there are such texts, but they are texts not seriously studied by Kutscher – namely, the Early Eastern manuscripts – Bar-Asher Siegal’s claim is that there are no manuscripts that can be utilized as the “primary texts” due to their exceptional reliability. What that means in practical terms is that each and every linguistic phenomenon, from orthography to morphology to syntax, has to be investigated thoroughly and independently in all of the manuscripts. And the result is that many of the paragraphs in the grammar contain references to textual readings in particular manuscripts.[3]

This position comes as something of a disappointment to textual scholars, who would like to be able to study the reliable manuscripts and be confident in the text found therein. Bar-Asher Siegal’s denial that this is the case means there is no text that can be studied to learn the grammar; there is an inescapable circle of reconstructing the grammar and ascertaining the text. If this were a pure circle, there would be no entry point, of course, and there would seemingly be no reliable criteria for determining which witness to follow on any given feature. We need some place to start. While Morgenstern looks to the EEMs, Eljakim Wajsberg has said that there are some “actually good” manuscripts of the Bavli, but apparently is confident in only two: a Yemenite manuscript in Oxford of Sukkah, and a Geniza fragment of Bava Metsia‘.[4] Even if they are not infallible, these texts give us an entry point into the grammar. Here we have mostly reliable manuscripts that provide some of the needed grammatical data. Using this foundation, Bar-Asher Siegal’s method can then be employed: each feature and phenomenon can be studied throughout all of the witnesses in an effort to write a real grammar.

One of the theoretical points made by the author which constantly accompany the analysis is that the text of the Bavli is a problematic witness for JBA. This is for two reasons. First, the Bavli seems to reflect different dialects. This is true not only in the well-known tractates with a somewhat different grammar;[5] randomly distributed throughout the Talmud are features that ought no co-exist within the same dialect. One example is found in §4.2, #6 (pp. 91-92). Here Bar-Asher Siegal discusses forms such as תלמידיך “your student,” where the singular form shows an unexpected yod before the suffixed possessive pronoun, and תלמידך “your students,” where the plural form does not have the expected yod before the suffixed possessive pronoun. He explains how each form may have developed – the former through reanalysis of the yod as part of the suffix rather than a pluralizing morpheme on the noun, and the latter through a sound change of ay > a before a word-final consonant (/_C#). Bar-Asher Siegal then comments:

If this situation reflects the actual forms of JBA, then clearly the two phenomena could not reflect one stage in one language, since either /y/ elided or its morphological role was reanalyzed. Thus, the various forms should either reflect different historical stages or two dialects. This is another example where JBA regularly reflects more than one linguistics system.

Second, however, and more fundamentally, the Bavli may not reflect JBA because scribes often try to mask developments within colloquial language in their written texts. When manuscripts differ between a more archaic and a later form, it often cannot be known whether the text originally had the older form and this was later mistakenly updated, or whether it original reflected the newer form and was then mistakenly “corrected” to the older form. Bar-Asher Siegal explains carefully (and in more detail than the summary offered here) on p. 30 why this is such a far-reaching problem, and concludes, “we may have to be satisfied with the fact that it is not always possible to determine which phenomenon is original. Often it is only possible to raise the various options regarding each and every form.” Fortunately, much of the time Bar-Asher Siegal does reach a conclusion regarding which form is to be preferred, but this caution is indeed found throughout the book.

After the methodological introduction, the book opens with a paragraph introducing orthography, that ends, “The goal of this section is to provide an overview of the different orthographic practices one will encounter in the manuscripts” (§1.1, p. 37). This makes it clear that beginning Talmudists are not the target audience of the book.[6] But this exemplifies the strengths of the book, as well: the grammar of JBA has never received this thorough and sophisticated a study, and anyone, beginner student to advanced scholar, who studies any section of the book will be enriched by it.

Here and there are claims or analyses with which one could quibble. To take one example, Bar-Asher Siegal discusses the pharygealization of the א in words borrowed into JBA. Following Breuer, he identifies this process in the word Ṭayyi’, for example, which appears as טייעא in JBA. Here it may also be that the ע is the result of a folk etymology, however; in many of the other examples he gives of this phenomenon (§3.1.4, pp. 71-72), one wonders whether the presence of a non-etymological ע simply points to the lack of any opposition between א and ע in the dialect, as he discusses in a different example (עדי “these”) later (§3.3.2.1, p. 81). This is the level at which the criticisms take place, however: building on the wide-ranging and fundamental work offered in this book itself, it may be possible to offer suggestions in different areas.

There are comparisons made throughout the book to other languages. Generally, these comparisons have one of two purposes. Sometimes there is a historical point being made, or implied; this is the case when the comparison is to Mishnaic Hebrew, Mandaic, Syriac, or North Eastern Neo-Aramaic dialects, for example. In such cases, it is likely that when there is similarity there is influence. Comparisons are also made to Akkadian, Greek, and other languages, presumably just for typological purposes (although Akkadian certainly did leave an impression on Eastern Aramaic, including JBA). Cross-linguistic data is put to good use in understanding how some of the distinctive features of JBA developed and are used. One example are the enclitic forms of the pronouns used on participles. Bar-Asher Siegal is able to observe that across languages, it is not uncommon for co-referential (redundant) pronouns to become a copula or a marker of agreement, and the originally dislocated element gain a central role in the clause, so that an originally marked construction becomes unmarked (§4.5.2, pp. 98-99). This allows for a clear presentation of the development of עדיפנא אנא “I am preferable” from an original אנא עדיף אנא.

Beginning in chapter 5 (p. 111), the book focuses on the verb. It should be noted that there is no artificial division found in this book between morphology and syntax, so never is the student asked to memorize forms without being told what function those forms play. As forms are introduced, their roles in the language are made clear, as can be seen in the Table of Contents (available here). At the back of the book (beginning on p. 334), there is an alternative Table of Contents, however, with the subjects arranged in the order one might find them in a traditional grammar: orthography, phonology (vowels, consonants), morphology (nouns, pronouns, verbs), syntax. In both it is clear that syntax plays a much larger role in this grammar than in most “introductory” grammars, especially in the later chapters. Indeed, although Bar-Asher Siegal is gracious in giving credit to early scholars for describing the syntax of JBA, the reader will find sophisticated discussions of many syntactic constructions here. The student of general Semitics may well benefit from these discussions even if only for comparative purposes.

One of the more ambitious parts of the book is a full presentation of the Tense – Aspect – Mood (TAM) system of JBA (§7.2, pp. 162-168). Here Bar-Asher Siegal parts ways with most older presentations, and denies that the prefix conjugation expresses the irrealis mood; he also argues that the verb הו”י, in different forms, serves to mark the tense of imperfective verbs as past or future. As in some of Morgenstern’s work, there is here a constant interplay between the conceptualization of the grammar (here, the TAM system) and the philological work with the manuscripts. It is of critical importance for the broad theory to ascertain whether the proper verbal form in a passage is איעול or עייל, for example, but the theory itself also provides justification for preferring one form (in this case, איעול), so there is something of a feedback loop here, which needs caution but also strengthens the analysis.

Related to the TAM system is the forms of the verb הו”י, and Bar-Asher Siegal deftly shows (§7.2.4.2, pp. 168-170) that the verb went from a fully-conjugated verb in a sentence such as כי הוינן אזלין בתריה דר’ יוחנן “when we were walking after R. Yohanan” (b. Berakhot 23a, in MS M) to being frozen in its 3ms form, such as כי הוה אזלינן בתריה דר’ אלעזר “when we were walking after R. El‘azar” (b. Shabbat 12a). The analysis concludes with the note that cross-linguistically, “loss of agreement is related to cliticization,” and it is therefore possible that הוה had become a tense prefix before the participle, rather than a real verb.

There are stimulating proposals and analyses in every section. Those who put the most into the book will get the most out of it. Following the exercises and the vocabulary sections will enable students to feel quite comfortable with JBA as a language. There are some typographical errors which will hopefully be corrected in future editions, but none that I noticed could create obstacles for learning.

I mentioned earlier that this is the best introduction to JBA with the current state of the field. The field is at a high point now, in terms of the quality, quantity, and sophistication of the research being produced. But it is also now clear what would be needed to usher in a new era of JBA studies: a full critical edition of the Bavli. This would, in light of the discussion above, need to be an eclectic edition, and producing such an edition would perforce generate new linguistic and philological insights at every turn. It would also continue the feedback loop: as our texts get better, the grammar will get better, and as the grammar gets better, both the texts and how well we understand them will improve.

Bar-Asher Siegal’s text ends, rather abruptly, with a quotation from Mo‘ed Qaṭan 28a: רבה הוה קא יתיב קמיה דרב נחמן, חזייה דקא מנמנם “Rabbah was sitting in the presence of Rav Nahman, and saw that he was dozing off.” For anyone with an interest in the Bavli, it will be difficult to doze off in the middle of this book. The rigor and thoroughness make for intellectually stimulating and productive study, and open up new avenues in grammatical and linguistic analysis of the Bavli, that most cherished and most challenging of texts.

___

[1] See Shaul Shaked, James Nathan Ford, and Siam Bhayro, with contributions from Matthew Morgenstern and Naama Vilozny, Aramaic Bowl Spells: Jewish Babylonian Aramaic Bowls (Leiden: Brill, 2013).

[2] See also Bar-Asher Siegal’s more systematic discussion in “Reconsidering the Study of Jewish Babylonian Aramaic- Five Decades After E. Y. Kutscher and his Influential Methodology,” Zeitschrift der Deutschen  Morgenländischen Gesellschaft  163 (2013), 341-364.

[3] It should be noted that the book does not contain a list of the manuscripts used or the abbreviations utilized to refer to them; the reader is sent to Sokoloff’s Dictionary for that. While Sokoloff’s foundational position in the study of JBA makes this not unreasonable, it still would have been convenient to include the list in the book.

[4] See Eitan Pinsky, “הגרמטיקליזציה של הפועל הוה בצירוף הוה+בינוני בארמית של התלמוד הבבלי” (MA thesis: Hebrew University, 2013), 10 n. 43.

[5] On which see most thoroughly Yochanan Breuer, “The Babylonian Aramaic in Tractate Karetot according to MS Oxford [Bodl. heb. b. 1],” Aramaic Studies 5 (2007), 1-45.

[6] Even advanced students will have to work hard to follow what is being said in passages such as, “Locative PPC [= predicative possessive construction]. In this type of PPC the PR [= possessor] is encoded as the place where the PD [= possessed] is located. The common construction is structurally an existential sentence with the PD behaving as its subject, and the PR as the location. In JBA the PR follows the preposition ב ‘in’ (§4.6.2.2, p. 107).” The first example given is then לית ביה מיא “It does not have water” (B. Qam. 61a), which seems much simpler than the analysis provided.

Aaron Koller is associate professor of Jewish Studies at Yeshiva University. His most recent book is Esther in Ancient Jewish Thought (Cambridge: Cambridge University Press, 2014).

Standard